Permanent. Chief Risk & Compliance Officer
Job Reference: 1043766
The Agency is recruiting for Chief Risk & Compliance Officer on behalf of our client.
Why Apply for the role
Strategic Leadership Impact: An opportunity to shape the full compliance and risk framework of a globally recognised financial services provider.
High-Level Regulatory Influence: Work directly with key regulators and senior leadership, driving critical firm-wide decisions.
Global Exposure: Engage with international teams and complex cross-border compliance matters in a prestigious, multi-jurisdictional environment.
Responsibilities:
- Lead core compliance, AML and risk functions, serving as the primary regulatory contact.
- Oversee the development, monitoring and enhancement of compliance frameworks and controls.
- Guide investigations, reporting obligations and quality assurance processes.
- Manage regulatory updates, internal training, audits and oversight of outsourced partners.
Requirements:
- At least 10 years of compliance leadership experience within regulated trust and fund environments.
- Strong knowledge of AML, CFT, PF, sanctions and Cayman regulatory standards.
- Proven capability in navigating regulatory relationships and risk management.
- Advanced qualifications (e.g., ICA, ACAMS) and strong communication and strategic skills.
Salary: US$150,000 – US$200,000 per annum.
If this sounds like a good match for you and you would like to learn more, we would welcome your application. Go ahead and apply.
We believe in inclusive workplaces and we are happy to consider any reasonable adjustments that candidates may require during the recruitment process; you will be asked if you require any during the application process. If you’d like to request additional options, please email erika@theagency.ky.
