Compliance Officer – Wealth Management

Ref: 43760_1695141487
Permanent, Full-time
Legal, Banking

An international banking and wealth management group is currently looking for a Compliance Officer – Wealth Management to join their Guernsey office.

You will ensure all regulations are implement and develop the compliance risk culture of the Channel Islands compliance and risk department and, to ensure consistency, partner with the UK team.

This opportunity allows you to have a long-term career at the firm while gaining personal growth and development.


  • Provide advice and support to the team regarding regulatory risks and requirements as well as interactions with the GFSC
  • Review existing frameworks and undertake compliance monitoring
  • Promote a culture of compliance and provide training and support 
  • Work with teams, attend committees, working groups and other meetings to advise and help implement change as regulations develop.

The ideal candidate will have a thorough understanding of the GFSC regulations and experience of providing advice or conducting compliance monitoring. Has 2 to 4 years experience in compliance and have/studying towards or wanting to study for an ICA qualification.

If you are a self-motivated, self-starter who can communicate effectively, work well with others and apply a methodical approach to work, this may be the job for you!

Apply today with your latest CV or call Marcel on 714 634 for more details.



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