Senior Compliance Executive / Compliance Manager

Invesco Ltd.

Dublin

Hybrid

EUR 90,000 - 130,000

Full time

14 days+
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Benefits offered by this job

Company-provided healthcare
A competitive annual leave allowance
Flexible working options, includinghyb
Generous pension provisions
Income protection
Health and wellness benefits
Volunteering days
Enhanced parental leave
Life insurance

Job summary

Invesco Ltd. in Dublin is seeking a Senior Compliance Executive/Manager to safeguard and shape the company’s regulatory framework in Ireland. You will act as a trusted partner, working with senior stakeholders to ensure compliance with evolving rules and to support strategic objectives.

You will contribute to regulatory change initiatives, AML oversight, governance reporting, and training, driving a strong culture of compliance across the business.

Qualifications

  • Experience in a Compliance role within Funds or Asset Management.
  • Strong knowledge of the Irish regulatory framework (UCITS, CP86, AML, Fitness & Probity, IAF).
  • Experience interpreting regulatory requirements and applying them in business context.
  • Excellent communication and relationship-management skills.
  • Analytical mindset with attention to detail.
  • Ability to manage multiple priorities and deliver high-quality work on deadlines.
  • Collaborative and proactive mindset.
  • Willingness to learn and grow within evolving regulatory environment.

Responsibilities

  • Partner with Head of Compliance Ireland in supporting Regulatory Compliance framework and governance.
  • Coordinate responses to regulatory enquiries and Central Bank of Ireland requests with stakeholders.
  • Engage with internal and external stakeholders to drive governance forums and actions.
  • Oversee operational risk events and compliance incidents with escalation and reporting.
  • Review management information from central Compliance functions to identify trends and risks.
  • Oversee AML/CTF framework to ensure regulatory obligations are met.
  • Provide day-to-day compliance guidance translating requirements into practical solutions.
  • Monitor regulatory developments and assess impact on the business.
  • Prepare Compliance reports for senior management and governance committees.
  • Maintain and enhance Compliance policies to align with expectations.

Skills

Regulatory knowledge
Stakeholder engagement
Regulatory reporting
Analytical mindset
Attention to detail

Education

Bachelor’s degree in Law/Finance/Business
Professional compliance qualification (e.g. LCOI) desirable

Tools

Central Bank of Ireland reporting systems

Job description

As one of the world’s leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients. By delivering the combined power of our distinctive investment management capabilities, we provide a wide range of investment strategies and vehicles to our clients around the world. If you’re looking for challenging work, intelligent colleagues, and exposure across a global footprint, come explore your potential at Invesco.

Job Description

We have an outstanding benefits package which includes:

  • Company-provided healthcare

  • A competitive annual leave allowance

  • Flexible working options, including hybrid working arrangements

  • Generous pension provisions

  • Income protection

  • Health and wellness benefits

  • Volunteering days

  • Enhanced parental leave

  • Life insurance

Your job:

Play a key role in safeguarding and shaping Invesco’s regulatory framework in Ireland.

We’re looking for a Senior Compliance Executive / Compliance Manager to join our Compliance team in Dublin!

In this role, you’ll act as a trusted compliance partner, helping ensure that Invesco continues to operate in line with evolving regulatory requirements while supporting the business in achieving its strategic objectives. You’ll work closely with senior stakeholders, contribute to regulatory change initiatives, engage with the Central Bank of Ireland, and help foster a strong culture of compliance across the organisation.

This is an excellent opportunity for a compliance professional looking to broaden their exposure across regulatory compliance, governance, AML oversight, regulatory reporting, and executive stakeholder engagement.

Your responsibilities:

  • Partner with the Head of Compliance Ireland in supporting the Company’s Regulatory Compliance framework and associated governance responsibilities.

  • Coordinate responses to regulatory enquiries and Central Bank of Ireland requests, working closely with internal stakeholders to ensure accurate and timely submissions.

  • Engage with key internal and external stakeholders, supporting governance forums and helping drive completion of regulatory and compliance-related actions.

  • Support the ongoing oversight of operational risk events and compliance-related incidents, ensuring appropriate escalation, tracking, and reporting.

  • Review and analyse management information received from central Compliance functions to identify trends, risks, and areas requiring attention.

  • Assist in the oversight of the Company’s AML/CTF framework, helping ensure compliance with applicable regulatory obligations.

  • Provide day-to-day compliance guidance to business stakeholders, translating regulatory requirements into practical and effective solutions.

  • Monitor regulatory developments and assess their potential impact on the business, providing analysis and recommendations to support implementation.

  • Contribute to the preparation of Compliance reports for senior management, governance committees, and the Board.

  • Maintain and enhance Compliance policies and procedures, ensuring alignment with regulatory expectations, industry best practices, and Invesco standards.

  • Support the Company’s obligations under the Central Bank of Ireland’s Fitness & Probity and Individual Accountability frameworks, including annual assessments, monitoring activities, and training delivery.

  • Design and deliver targeted compliance training to promote regulatory awareness and a strong compliance culture across the business.

You’ll need to have:

  • Previous experience in a Compliance or related role within the Funds or Asset Management industry, ideally within a management company environment.

  • Strong knowledge of the Irish regulatory framework, including UCITS, CP86, AML requirements, Fitness & Probity, and the Individual Accountability Framework.

  • Experience interpreting regulatory requirements and applying them in a practical business context.

  • Familiarity with the Central Bank of Ireland’s regulatory reporting systems would be advantageous.

  • Bachelor’s degree in Law, Finance, Business, or a related discipline.

  • Professional compliance qualification (e.g. LCOI) is desirable.

  • Excellent communication and relationship-management skills, with the confidence to engage effectively across all levels of the organisation.

  • Strong analytical mindset with exceptional attention to detail.

  • Ability to manage multiple priorities and consistently deliver high-quality work within deadlines.

  • Collaborative approach combined with the confidence to challenge constructively where required.

  • Enthusiasm to learn, develop, and grow within an evolving regulatory environment.

  • A proactive, solutions-focused mindset and a genuine passion for promoting a strong culture of compliance.

Why Join Invesco?

At Invesco, you’ll be part of a collaborative and inclusive environment where compliance is viewed as a strategic business partner. You’ll gain exposure to senior stakeholders, regulatory developments, and key governance activities while contributing to the success of one of the world’s leading asset management firms.

If you’re looking for a role where your expertise can make a real impact while continuing to develop your career, we’d love to hear from you.

This closing paragraph tends to perform particularly well on LinkedIn because it focuses on career growth and impact rather than simply listing requirements.

Full Time / Part Time

Full time

Worker Type

Employee

Job Exempt (Yes / No)

Yes

Workplace Model

Pursuant to Invesco’s Workplace Policy, employees are expected to comply with the firm’s most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in the role’s advertised office. This reflects our belief that spending time together in the office helps us build stronger relationships, collaborate more easily, and support each other’s growth and development.

If this sounds like you, we’d love to hear from you! We want all of our candidates to shine during the application and selection process, so if you need any adjustments to be made, please send an e‑mail to emea-talentacquisition@invesco.com. Please include your name, the job you are interested in, and the type of adjustment you need (for example; breaks during your interview, remote interviews, additional time for assessments or other required adjustments)

We promote a working environment that welcomes everyone and creates inclusive teams, celebrates difference and encourages everyone to be themselves at work.

Our commitment to the community and environmental, social and governance investing:
We partner with charitable organisations globally to make an impact in the communities where we live and work. Our people are encouraged to support the charities they feel most passionate about. We are also committed to environmental, social and governance (ESG) investing. We serve our clients in this space as a trusted partner both on specific responsible investment product strategies as well as part of our commitment to deliver a superior investment experience.

Recruitment Agencies:
Invesco has an in‑house recruitment team, which focuses on sourcing great candidates directly. Invesco will not accept unsolicited resumes from agency or search firm recruiters. Fees will not be paid in the event a candidate submitted by a recruiter without an agreement in place is hired. When we do use agencies, we have a PSL in place, so please do not contact hiring managers directly.

Regulatory:
This position may fall in-scope of one or multiple regimes/directives.

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