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AML/CFT, Risk & Compliance Officer/Manager

Q Securities · Dublin, County Dublin, Ireland

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Q Securities S.A. is a Polish MiFID investment firm operating as a depositary of Alternative Investment Funds in several European jurisdictions. We serve a wide range of funds implementing private equity, private debt, real estate, securitization and other strategies. Following the launch of our first foreign branch in Luxembourg in early 2021 and our second branch in Malta in 2023, we established our Irish branch in 2026 as part of our continued European expansion. As we build our initial core team in Ireland, we are seeking a candidate to take on a pivotal leadership role in Ireland as the Irish branch's: AML/CFT, Risk & Compliance Officer/Manager

Location: Dublin, Ireland

Responsibilities

Upon joining the Ireland Branch office, the successful candidate will assume an overall responsibility for the risk, compliance and AML/CFT frameworks and will play a central role in supporting the branch’s governance, regulatory compliance and sustainable growth. Given the initial small size of the office (4-6 employees), the role is expected to provide strong local leadership across all three areas, whilst ensuring appropriate alignment with Group standards and the expectations of the Central Bank of Ireland. The responsibilities will include:- implementing, managing and overseeing the Branch's compliance with AML/CFT requirements- overseeing KYC processes for prospective clients in coordination with the Firm’s onboarding unit- developing and managing the risk function of the Ireland Branch- ensuring local risk procedures are robust and appropriately aligned with the Firm’s Head Office framework- designing, implementing and maintaining the Branch's compliance monitoring programme - ensuring the Ireland Branch maintains effective and robust compliance policies, procedures and controls- developing and delivering employee training programmes to support a strong culture of compliance and risk awareness- participating in depositary and brokerage clients onboarding processes (committees)- working closely with the Firm’s internal auditor and supporting the remediation of findings, where required- managing regulatory relationships and regulatory submissions- partnering with Branch management, Head Office functions and the Board on governance, risk and regulatory matters

Requirements

:This role is designated as a Pre‑Approval Controlled Function (PCF-12, PCF-14 and PCF-52) under the Central Bank of Ireland's Fitness and Probity Regime. Appointment will be subject to prior approval by the Central Bank of Ireland. Due diligence and background checks will be conducted as part of the assessment process. The successful candidate must meet and continue to meet the Fitness and Probity Standards applicable to the role.Skills, Knowledge & Profile:The successful candidate will ideally demonstrate the following:- a degree/qualification in Compliance, Risk, Law, Business, Economics, Finance, or a related discipline- substantial experience in Risk, Compliance, AML/CFT within a regulated financial services entity, preferably in the investment funds sector- strong knowledge of Central Bank of Ireland regulatory requirements, expectations and supervisory approach- although not a prerequisite, having prior experience in a PCF role will be advantageous- the ability to operate independently, exercise sound judgement and contribute to the operations of the Branch- willingness to work in a small branch office covering all three areas of responsibility in cooperation with the head office located in PolandWe offer:- a collaborative and rewarding working environment- a stable and senior position within the Irish Branch of an expanding European investment firm- the opportunity to hold a genuinely impactful role and shape the Branch's risk, compliance and AML/CFT framework from an early stage- competitive salary and benefits- a collaborative and rewarding working environment