Compliance Officer, Metropolitan City Of Milan
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Compliance Officer, Metropolitan City of MilanClient:Natixis
Location:Metropolitan City of Milan, Italy
Job Category:Other
EU work permit required:Yes
Job Reference:6c17db99e4d1
Job Views:3
Posted:06. 03. 2025
Expiry Date:20. 04. 2025
Job Description:Job Description Under the authority of the Chief Compliance Officer (CCO), the Compliance Officer contributes to ensuring that Natixis Corporate and Investment Banking Milan Branch framework complies with the Group rules and the local regulations in force, as regards:
Prevention of money laundering, fight against corruption and terrorism financing, compliance with sanctions and embargoesCompliance with the Professional Ethics, Market Integrity, Clients Interest's protection and other compliance related rulesDeployment and implementation of Compliance permanent control framework and follow-up of concrete action plansDeployment and/or adaptation of Compliance policies and proceduresThe scope of activity covers the different activities of Natixis CIB Milan Branch.
Main responsibilities and duties of the role: Deploy a consistent compliance framework (policies, controls, training) within Natixis Milan Branch. Contribute to define and regularly update applicable compliance policies, rules, standards and methodologies. Contribute to ensure that the employees comply with the applicable internal rules (conduct of business, policies, training sessions…) and identify the potential situations of conflict of interests. Contribute to the regulatory watch on his/her perimeter. Analyse Compliance risks and specific issues on his/her perimeter, in order to inform the decision-making bodies, to provide them with decision-making assistance and to raise alerts if the risk profile requires it. Contribute to provide support and guidance to the Business teams in a proactive manner and when needed or requested (e. g.
due diligence visits, audits)Participate to the implementation of the RCSA, Risk Appetite and Control plan and its realization in due time. Handled as instructed by the CCO different regulatory reports (e. g.
yearly AML report, yearly Compliance report, Financial Crime questionnaire, Complains report …. etc)Assist, advise, and perform controls on the 1LOD (first line of defense) as part of the outsourced activities regarding AML/KYC, sanctions/embargoes and Market Abuse requirements (teams in Porto). Escalate (when deemed appropriate) any compliance issue to the CCO and Management. Maintain up to date the Compliance procedures & policies, the different compliance registers (e. g.
conflict-of-interest register, compliance issue register, main records register, communication register. . ). Provide report, dashboard to the management and contribute to the Compliance committee. Contribute to examine the compliance of new operations, services or products from the perspective of the NPNA committees. Perform analysis regarding MiFID related topics. Required Skills/Qualifications/Experience • Bachelor's degree in law, accounting, finance, or a related field.
• Minimum of 3 years of experience in a compliance role, preferably within the Corporate Investment Banking industry.
• Knowledge of Corporate Investment Banking, credit operations and treasury operations,
• Knowledge of basic computer tools (Excel, Word, Powerpoint),
• General knowledge of the Natixis Milan Branch regulatory environment,
• Ability to work in a team, adaptability, listening and conviction, interpersonal skills,
• Strong ethical compass and unwavering commitment to compliance
• Strong attention to detail and accuracy
• Ability to maintain confidentiality and handle sensitive information discreetly.
• Excellent organizational and time management skills with the ability to prioritize tasks.
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Informazioni dettagliate sull'offerta di lavoro
Azienda: Buscojobs Località: Bardi
Emilia Romagna, BardiAggiunto: 11. 3. 2025
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