Compliance Officer Sweden, Finland & Denmark

Ria Financial Services Sweden AB / Administratörsjobb / Solna
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He/she is the main interlocutor in front of the Central Bank and local financial authorities.

The Compliance Officer will enhance the value of traditional money transfer business by assisting the Corporate Compliance Department with
regulatory oversight and guidance according to local regulatory requirements.
In general terms, he/she plans, organizes, and controls the day-to-day administrative and operational compliance activities; collaborates with the Senior Management in the overall administration of these directives for the company. Advises the Board of Directors, Senior Management and personnel of emerging compliance issues and consults and guides the company in the establishment of controls to mitigate risks. Specifically, he/she will be in charge of:

Money Laundering Prevention:
Supervision of company's program in compliance with local Regulations: Know Your Customer, Sanction List regulations and other Anti-Money Laundering statutes;
Maintain the relationship with Central Bank and public financial institutions.
Implementation of company's compliance policies and internal procedures;
Maintain company's legal forms and files, and filing of any required regulatory reporting and Suspicious Activity Reports to local authorities;
Oversee compliance training program, organize new hire and ongoing staff training on Anti-Money Laundering;
Conducts mainframe and software computer programs.
Respond to subpoenas or any legal orders and interface with law enforcement.
Prepare for regulatory examinations; participates in various committees and audits.
Study of the viability and legality of the Company 's Agents documentation (as well management of Agents PoA 's) set forth under local Law.
Implement and review payment forms' structure and content

He/she is the main interlocutor in front of the Central Bank and local financial authorities.

The Compliance Officer will enhance the value of traditional money transfer business by assisting the Corporate Compliance Department with
regulatory oversight and guidance according to local regulatory requirements.
In general terms, he/she plans, organizes, and controls the day-to-day administrative and operational compliance activities; collaborates with the Senior Management in the overall administration of these directives for the company. Advises the Board of Directors, Senior Management and personnel of emerging compliance issues and consults and guides the company in the establishment of controls to mitigate risks. Specifically, he/she will be in charge of:

Money Laundering Prevention:
Supervision of company's program in compliance with local Regulations: Know Your Customer, Sanction List regulations and other Anti-Money Laundering statutes;
Maintain the relationship with Central Bank and public financial institutions.
Implementation of company's compliance policies and internal procedures;
Maintain company's legal forms and files, and filing of any required regulatory reporting and Suspicious Activity Reports to local authorities;
Oversee compliance training program, organize new hire and ongoing staff training on Anti-Money Laundering;
Conducts mainframe and software computer programs.
Respond to subpoenas or any legal orders and interface with law enforcement.
Prepare for regulatory examinations; participates in various committees and audits.
Study of the viability and legality of the Company 's Agents documentation (as well management of Agents PoA 's) set forth under local Law.
Implement and review payment forms' structure and content

Ria Financial Services is the third-largest global money transfer company and a division of the North American public company Euronet Worldwide (Nasdaq: EEFT). Serving more than 150 countries in the world, RIA has emerged as a global leader in remittances and is a recognized benchmark in both quality and reliability of the service it offers to general public. we are now looking for a candidate that is going to have the overall responsible for developing, implementing and administering all aspects of the company's Compliance Management Program in Sweden, Finland and Denmark.

Publiceringsdatum
2018-10-06

Så ansöker du
Sista dag att ansöka är 2018-11-12
Klicka på denna länk för att göra din ansökan

Kontakt
Zina Celhasic zcelhasic@riafinancial.com 08234010

Företag
RIA FINANCIAL SERVICES SWEDEN AB

Adress
RIA FINANCIAL SERVICES SWEDEN AB
Armégatan 40
17171 Solna

Kontorsadress
Armégatan 40

Jobbnummer
4387227

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