A critical role within the Compliance Team reporting to the Compliance Leader, focusing on ensuring the Netherlands business operates within Dutch Central Bank guidelines. The role involves implementing compliance strategies, advising management, and maintaining robust compliance frameworks across IQ-EQ's Netherlands operations.
Primary responsibilities include developing and implementing risk and compliance legislation, guidelines, and internal strategies. The role is crucial in guiding client acceptance, maintaining regulatory compliance, and ensuring robust risk management processes across the organization.
Required experience includes a Master's degree in Dutch Law, minimum 6 years of experience in similar international environments, and certification as a Compliance Officer. Profound knowledge of Dutch financial regulations like Wft and Wwft is essential, with strong skills in managing complex compliance challenges.
The role offers an opportunity to work in a dynamic, international organization that values professional development, provides a supportive environment, and allows professionals to contribute significantly to the company's compliance and risk management strategies.