Compliance Manager - large ManCo

The Panel

Dublin

On-site

EUR 90,000 - 120,000

Full time

14 days+

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Job summary

The Panel is seeking an experienced Compliance Manager to join a growing European compliance function in Dublin. You will support a broad compliance agenda across regulatory advice, AML/CTF oversight, monitoring, governance and regulatory change to strengthen the firm’s control framework.

In this role you will work with third-party providers and internal stakeholders to review breaches, conduct risk assessments and implement regulatory updates across multiple jurisdictions.

Qualifications

  • At least three years’ compliance experience within investment management, funds, or regulated financial services.
  • Strong working knowledge of Irish funds regulation and the Central Bank of Ireland framework.
  • Experience with AML/CTF requirements for investment funds and investor due diligence.

Responsibilities

  • Support development, delivery and continuous improvement of the compliance framework and AML/CFT controls.
  • Carry out monitoring reviews and thematic assessments, document findings and track remediation.
  • Assist with regulatory interactions, filings, and responses to regulator queries and governance bodies.
  • Act as a point of contact for third-party service providers, reviewing issues and escalation.
  • Contribute to policy development, governance reporting and regulatory change implementation.

Skills

Regulatory knowledge
AML/CTF expertise
Governance frameworks
Stakeholder engagement
Monitoring & testing

Job description

Our client is seeking an experienced Compliance Manager to join a growing European compliance function in Dublin, supporting a sophisticated asset management business operating across multiple jurisdictions. This role offers the opportunity to work on a broad compliance agenda spanning regulatory advice, AML/CTF oversight, monitoring activity, governance, and regulatory change within a collaborative and high-accountability environment. The Compliance Manager will play a key part in strengthening the firm’s control framework and supporting strong conduct, governance, and regulatory standards across the business. For candidates looking for a Compliance Manager role with real breadth and exposure, this is an excellent opportunity to make a meaningful impact.

Responsibilities

  • Support the development, delivery, and continuous improvement of the compliance framework, including the risk-based compliance programme and AML/CFT controls.
  • Carry out monitoring reviews and thematic assessments, documenting findings, escalating issues, and tracking remediation through to completion.
  • Assist with regulatory interactions, notifications, filings, and responses to queries from regulators, senior stakeholders, boards, and committees.
  • Act as a key point of contact for third-party service providers and delegates, helping to review, investigate, and escalate breaches, incidents, and control issues.
  • Contribute to policy development, governance reporting, regulatory change implementation, training initiatives, and wider compliance projects across the business.

Requirements

  • At least three years’ relevant compliance experience within investment management, funds, or a regulated financial services environment.
  • Strong working knowledge of Irish funds regulation and the Central Bank of Ireland framework, with experience preparing or submitting regulatory filings and notifications.
  • Experience with in AML compliance frameworks, AML/CTF requirements for investment funds, including investor due diligence, monitoring, outsourcing, and delegate oversight.
  • Confidence working with third-party administrators, transfer agents, depositaries, and other outsourced providers, with the ability to challenge constructively.
  • Excellent organisational, analytical, and communication skills, with a proactive, detail-focused, and solutions-oriented approach to compliance work.
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