
About This Job
Our client, a reputable Corporate Services Provider in Malta, is looking to recruit a Senior Compliance Executive.
The successful candidate will form part of a dynamic team that handles a predominantly international clientele operating across a wide range of industries as well as the firm’s private clients. The role is therefore ideal for someone who wishes to broaden their experience and take on a challenge.
Responsibilities:
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Collect, review and maintain client due diligence documentation, ensuring robust due diligence standards in line with regulatory requirements and internal onboarding procedures.
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Carry out client risk assessments at onboarding stage and on an ongoing basis.
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Perform Enhanced Due Diligence on higher-risk clients and scenarios in line with the PMLFTR and FIAU Implementing Procedures.
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Apply internal client acceptance criteria, ensuring alignment with the Company’s risk appetite and risk management framework.
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Conduct ongoing monitoring of client relationships, ensuring that client profiles, risk ratings, and supporting documentation remain accurate, complete, and up to date.
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Conduct and/or review sanctions, PEP, and adverse media screenings; analyse alerts, identify potential ML/FT risks, and prepare structured risk-based assessments with clear recommendations.
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Client re-evaluations in line with our quality and risk management policies.
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Liaise with relevant internal departments to obtain information, provide guidance, and ensure compliance with AML/CFT procedures.
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Maintain accurate and up-to-date client records, including physical files and electronic systems.
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Support statutory compliance obligations (where applicable), ensuring alignment with regulatory and internal standards.
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Assist with the management of internal audit procedures, practices and documentation.
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Support the development, implementation, and periodic review of AML/CFT policies, procedures, and internal controls.
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Assist and support junior compliance team members, fostering professional development and maintaining high standards of performance.
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Assist with the delivery of AML and CFT training, promoting a strong compliance culture throughout the organisation.
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Identify and escalate potentially suspicious activities to the MLRO.
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Ensure adherence to applicable AML/CFT legal and regulatory requirements, including Maltese and EU frameworks, and relevant sanctions regimes.
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Support ad hoc compliance projects, reporting requirements, and departmental initiatives as required.
Requirements:
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At Least two to three years experience working within AML/CFT compliance, experience within a CSP, or regulated environment will be considered an asset.
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Entry level qualifications in AML and evidence of training completed would be considered an asset.
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Knowledge of the Financial Services Industry regulations and standards whilst having strong knowledge of the Maltese corporate service providers regulatory framework, company and trust law and AML / CFT regulations.
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Knowledge in Due diligence & AML functions & practices.
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Excellent communication skills especially in English, both verbal and written.
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Strong risk assessment and problem-solving capabilities, with the ability to interpret regulations and apply them effectively in a business context.
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Proficient in MS Excel, MS Word and MS Outlook.
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Ability to manage multiple tasks and meeting deadlines.
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Ability to work with limited supervision and comfort in making decisions independently but also being able to collaborate in a team-oriented environment.
Job details
Language Requirements
English -
Full professional proficiency (Advantage)
| Monthly | Yearly | |
|---|---|---|
| Gross Salary | €0.00 | €0.00 |
| Tax | €0.00 | €0.00 |
| National Insurance | €0.00 * | €0.00 |
| COLA / Bonus | €42.71 ** | €512.52 ** |
| Net Salary | €0.00 | €0.00 |