Qureos

Find The RightJob.

Compliance Manager- Stackflow

Role Overview
The Compliance Manager is responsible for managing and overseeing the global compliance framework of Dealing.com and its group entities across multiple jurisdictions.
The role ensures that each regulated entity operates in full compliance with applicable laws, regulations, license conditions, and internal policies, while maintaining strong coordination with local compliance officers, MLROs, and external consultants.
This position plays a critical role in protecting the group’s regulatory standing, reputation, and long-term sustainability.
Key Responsibilities
1. Group-Wide Compliance Oversight
Design, implement, and maintain a group-level compliance framework applicable across all Dealing.com entities.
Ensure alignment between group compliance policies and local regulatory requirements in each jurisdiction.
Oversee compliance governance across multiple licenses, regulators, and operating models.
Provide regular compliance updates to the Board, senior management, and key stakeholders.
2. Regulatory & Licensing Management
Act as the primary compliance escalation point for global regulatory matters.
Coordinate with regulators across jurisdictions (e.g., FSC, CySEC, FSCA, SCA, or others, as applicable).
Support:
Regulatory inspections and audits
License applications, variations, and renewals
Regulatory reporting and disclosures
Ensure timely and accurate responses to regulatory queries and findings.
3. Local Compliance Coordination
Work closely with local Compliance Officers, MLROs, and compliance consultants in each jurisdiction.
Provide guidance, oversight, and consistency in interpretation of regulatory requirements.
Review and approve local compliance policies, procedures, and control frameworks.
Ensure effective escalation and resolution of compliance issues at the group level.
4. AML / CFT & Financial Crime Oversight
Oversee the group’s AML/CFT framework, including:
KYC and client due diligence standards
Transaction monitoring controls
Sanctions screening and PEP monitoring
Suspicious transaction reporting
Ensure AML policies are consistently implemented while respecting local regulatory nuances.
5. Policies, Procedures & Controls
Draft, review, and maintain:
Group compliance manuals
AML/CFT policies
Conflicts of interest, outsourcing, and conduct policies
Client protection and complaints handling frameworks
Ensure operational processes align with compliance and regulatory expectations.
Promote a strong culture of compliance and ethical conduct across the organization.
6. Monitoring, Risk & Internal Controls
Develop and oversee compliance monitoring programs across entities.
Identify, assess, and mitigate compliance risks at both entity and group levels.
Track regulatory changes and assess their impact on the business.
Implement corrective actions for compliance gaps and regulatory findings.
7. Advisory & Business Support
Act as a trusted compliance advisor to senior management, operations, product, and technology teams.
Review and approve new products, services, markets, and distribution models from a compliance perspective.
Support outsourcing, partnerships, and vendor arrangements with appropriate compliance controls.
Balance regulatory compliance with commercial objectives.
8. Training & Compliance Culture
Design and oversee group-wide compliance training programs.
Ensure staff awareness of regulatory obligations, AML requirements, and internal policies.
Promote a proactive, transparent, and risk-aware compliance culture.
Key Skills & Competencies
Strong expertise in global financial services regulation (brokerage, trading, fintech).
Proven ability to manage compliance across multiple jurisdictions and licenses.
Deep understanding of AML/CFT frameworks and regulatory expectations.
Strong stakeholder management and communication skills.
Ability to interpret complex regulations and translate them into practical controls.
High integrity, independence, and sound judgment.
Qualifications & Experience
Bachelor’s degree in Law, Finance, Business, or related field (Master’s degree preferred).
15+ years of compliance experience in financial services, fintech, brokerage, or trading firms.
Prior experience as:
Group Compliance Officer
Head of Compliance
Senior Compliance Manager in a regulated environment
Experience working with regulators and managing external compliance consultants is essential.

Similar jobs

No similar jobs found

© 2026 Qureos. All rights reserved.