Investment Management
Dublin - Hybrid Working
130-175k
18 Month Fixed Term Contract
An exceptional opportunity has arisen for an experienced Compliance and Risk leader to join a leading investment management business in Dublin. This senior leadership role offers the opportunity to manage and oversee the Compliance and Risk framework while acting as a key advisor to the Board and Executive Management.
Appointed as both PCF-12 and PCF-14 you will provide independent oversight and challenge across the organisation, ensuring regulatory compliance, robust risk management, and effective governance in line with Irish and European regulatory requirements.
Your Role:
- Provide strategic, risk-based regulatory advice to senior leadership, supporting key business initiatives and product developments.
- Lead compliance monitoring, regulatory reporting, and horizon scanning, ensuring the business remains ahead of evolving regulatory requirements.
- Oversee enterprise risk management
- Act as the primary point of contact for the Central Bank of Ireland and other regulatory stakeholders.
- Provide independent challenge to the business on key regulatory and strategic matters
- Prepare and present high-quality reporting to the Board, Executive Committees, and regulators.
About You:
- Experience within a leadership role in compliance and/or risk.
- Strong knowledge and experience working on fund regulations - UCITS, AIFMD, MiFID
- Experience dealing with key internal and external stakeholders - boards, committees, regulators etc
- Commercially minded with the ability to provide independent challenge while building strong stakeholder relationships.
Apply here or reach out to me directly at darren.hogan@broadgatesearch.com for a confidential conversation and for more information