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Compliance Analyst

Ref: 80883

  • 0
  • 03 May 2024
  • Dublin (Central)
  • Permanent

Compliance Analyst

My client is a specialist banking and wealth management group with a global reach and an excellent reputation in their core markets.  They are a solutions driven, client focused provider of Treasury risk management services to the domestic Irish market, with a long established track record and strong client base.  Reporting to the Head of Compliance, you will be responsible for

Key Responsibilities

Provide support to the Head of Compliance and provide advice and guidance to staff in relation to compliance matters
Review of new legislation and to analyse the impact it may have on the business
Involvement in projects that require regulatory/compliance input
Focus on areas such as PSD2, MIFID II, Client Asset Requirements, Market Abuse Regulations, EMIR, AML, Central Bank Codes.
Review of firmwide procedures and controls in areas related to Compliance
Assist in communications with the Central Bank of Ireland when required



• A high calibre candidate with a minimum of 3 years broad-based operational experience in a financial services environment (preferably Treasury based)
• High level of accuracy and attention to detail / diligent and focused
• Excellent communication and interpersonal skills with a customer service orientation
• Enthusiastic and flexible individual to provide consistent, high quality service to internal and external clients

For more information on this role contact Mark Byrne on 01 592 7845 or email me on [email protected]

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