As a Compliance Manager within an Integrity & Risk Advisory practice, you operate at the intersection of regulation, governance, and organizational integrity. You advise clients on how to design, implement, and continuously improve compliance frameworks in a rapidly evolving regulatory and digital landscape. You act as a key connector between client stakeholders and internal subject matter experts, ensuring compliance solutions are practical, scalable, and embedded into day-to-day operations.
You join a multidisciplinary team focused on integrity, compliance, and risk transformation. The team brings together professionals with backgrounds in law, economics, criminology, psychology, and business, working across sectors such as financial services, technology, energy, and the public domain. Engagements typically combine advisory, implementation, and training components, helping organizations strengthen resilience against fraud, corruption, misconduct, and third-party risks.
Responsibilities & Impact
- Advise clients on compliance and integrity topics, integrating regulatory requirements with organizational culture and behavior
- Design, implement, and enhance compliance frameworks, including policies, procedures, and governance structures
- Deliver workshops, training sessions, and awareness programs to strengthen compliance culture and internal accountability
- Translate evolving legislation and regulatory frameworks into actionable client guidance
- Identify gaps in compliance structures and lead remediation and continuous improvement initiatives
- Manage multiple concurrent engagements with competing priorities, timelines, and deliverables
- Build and maintain long-term client relationships at senior stakeholder level
- Collaborate with forensic, risk, legal, and advisory specialists on multidisciplinary engagements
- Contribute to business development by identifying opportunities within existing and new client environments
- Monitor regulatory, technological, and risk developments and translate them into client value
Profile & Expertise
- Minimum 6+ years of experience in compliance, integrity, or risk advisory roles
- Master’s degree in Law, Business Administration, Criminology, Economics, or Accounting
- Strong expertise in ABC, TPRM, ESG, antitrust/competition law, and EU regulatory frameworks (DORA, DSA, DMA, MiFID II, etc.)
- Proven experience managing complex, multi-stakeholder projects in advisory environments
- Strong client-facing experience with excellent relationship management skills
- Consultancy or advisory background strongly preferred
- Fluent Dutch and English (C1 level required)
- Commercially aware, proactive, and driven mindset
Core Expertise Areas
- Integrity & Compliance frameworks
- Anti-Bribery & Corruption (ABC)
- Third-Party Risk Management (TPRM)
- ESG compliance and governance
- EU regulatory frameworks (DORA, DSA, DMA, MiFID II)
- Antitrust and competition compliance
- Regulatory advisory and transformation
- Compliance culture, governance, and awareness programs
What’s Offered
- Competitive senior-level compensation aligned with market standards (€5000 - €6400)
- Performance-based bonus and fixed allowances, including work-from-home support
- Flexible pension scheme without mandatory employee contributions
- 30 vacation days with the option to buy or sell additional days
- Hybrid working model with flexibility across office, client site, and remote work
- Fully equipped home office setup
- Lease car or mobility budget plus NS business card
- Laptop and mobile device provided
- Strong focus on professional development, certifications, and training programs
- Access to coaching, vitality programs, and wellbeing initiatives
- Inclusive environment with active diversity and professional networks
- Regular team events, knowledge sharing, and social activities