Designated Person for Regulatory Compliance & MLRO
CORUM L'EPARGNE
- Dublin
- Permanent
- Full-time
- Fulfil the role of DP Regulatory Compliance and monitor compliance with all applicable regulatory standards, and oversee any new requirements/changes to the regulatory environment.
- Review and advise on the Business Plan/Programme of activities and the Company’s Policies and Procedures, particularly regarding Compliance Policies and relevant Group Policies.
- Coordinate and review policies and procedures of the funds under management.
- Develop and implement the annual compliance monitoring plan, including testing and reporting.
- Manage the Compliance calendar, escalate issues, and promote a strong compliance culture.
- Liaise with the Central Bank of Ireland and other regulatory bodies; prepare and submit regulatory reports.
- Deliver or coordinate compliance training, including onboarding sessions for new joiners.
- Act as a point of escalation for compliance issues and breaches.
- Report regularly to the Board of Directors.
- Participate in internal committees (Risk, Valuation, ESG, DP) and collaborate with Group entities to align compliance practices
- Review investment compliance in coordination with the Risk Function.
- Support the review of fund marketing materials.
- Manage the Compliance aspects of the oversight program of the Funds' delegates (e.g, Fund Administrators and Investment Managers)
- Maintain and apply an AML/CTF risk assessment framework aligned with regulatory and Group standards.
- Lead the annual AML business risk assessment and ensure policies remain up to date with Irish and international requirements.
- Deliver AML training to staff and directors; oversee investigations and escalation of suspicious activities.
- Submit Suspicious Transaction Reports (STRs) and act as the main contact for AML regulatory reviews and inspections.
- Proven experience in compliance and AML/CTF within asset management.
- Strong knowledge of Irish and EU regulations, including CP86, UCITS, AIFMD, and GDPR.
- Experience interacting with CBI and regulatory agencies.
- Excellent communication, organizational, and analytical skills.
- Comfortable working in a European/international environment.
- Degree in law, finance, economics, or related field; compliance certifications are a plus.