Implementing specific compliance solutions for several types of regulated financial institutions (Hedge funds, private equity firms, wealth managers, traditional and alternative fund managers, brokers, investment advisors, custodians…), including the preparation of: compliance manuals, policies and procedures; compliance monitoring programmes; risk assessments; and regulatory reporting.
Assessing compliance with regulatory requirements and carrying out compliance checks; Assisting financial institutions in obtaining ACPR and AMF licenses; Elaborating mission summaries, compliance, and audit reports; Managing daily interactions with the retained clients’ portfolio; Communicating with national and international competent authorities as well as professional trade bodies in the financial sector; Preparing commercial offers and responses to invitations to tender; Preparing training materials for clients; Ensuring proactive regulatory watch by publishing quarterly updates and real time regulatory alerts; and Developing and updating the internal tools of FSCR France.
Bac+5 education (business school, engineering school or University); Knowledge of the regulations applicable to asset management, investment firms and banks; A highly developed sense of customer service. Team-oriented, resourceful, strong interest in business, finance and compliance; Strong communication and writing skills in French and English; Excellent time management and ability to work under pressure; and Independent, disciplined and ability to work on several projects simultaneously.
Kroll offers a hybrid working environment with offices in the heart of Paris (quartier de l’Opera). International exposure and work with colleagues from all over the world Internal training session and opportunities for external professional certifications Team building events