About the role
To thrive in this role, we believe you:
- Have a university or business school degree. While a law degree is preferred, a strong understanding of the regulatory environment for investment services and a keen interest in regulatory matters are equally valued.
- Have at least 5 years of experience in the financial industry, including strong expertise in MiFID. Knowledge in one or several other financial regulations related to banking or securities markets is desired but not mandatory (e.g., MAD/MAR, AML, GDPR, DORA etc.).
- Are flexible and enjoy diversity in work tasks with the ability to take on new knowledge quickly and independently.
- Have experience and ability to work independently while also being comfortable collaborating across different teams and managing day-to-day operational tasks.
- Have a strategic and forward-thinking mindset, with a proactive approach to developing and improving ways of working.
- Can build strong relationships and collaborate effectively across the organization.
- Have an interest in wealth management and experience working in a control function.
- Have strong communication skills and fluency in English. Knowledge of Swedish and/or French is considered an advantage.
As a person, you demonstrate excellent judgment, integrity, and a strong sense of responsibility. You are adaptable and comfortable navigating a changing regulatory environment, with the curiosity and openness to embrace new perspectives and contribute to the continued development of a data-driven compliance function.
What we offer
we offer
you:
- A diverse and autonomous role
- International working environment
- Competitive compensation that reflects your experience and contribution
- Extensive training and learning opportunities
- A welcoming and inclusive workplace culture that values collaboration and individuality