The posting
- Provide regulatory, risk and compliance advice to fund management and asset management clients.
- Conduct compliance reviews, internal audits and controls assessments, identifying gaps, risks and areas for improvement.
- Perform business process and control reviews, including walkthroughs, control testing and assessment of design and operating effectiveness.
- Provide outsourced compliance support, including regulatory reporting, compliance monitoring, regulatory change implementation and AML/KYC reviews.
- Assist clients in developing and strengthening risk management and compliance frameworks.
- Translate regulatory requirements and industry developments into practical policies, processes and controls.
- Prepare clear audit findings, risk assessments and recommendations for remediation.
- Manage client and senior stakeholder relationships, including communicating project scope, findings, regulatory updates and recommendations.



