Financial Crime Advisor, Dublin Pike
Financial Crime Advisor, Dublin Pike
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Dublin Pike, Ireland
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Posted: yesterday
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Description
Title: Financial Crime Advisor
Company: Everest Advisors (Uk), Ltd.
Job Category: Compliance Oversight
Summary The Financial Crime Advisor will be part of the wider Everest Global Wholesale&Specialty compliance function, currently based in London and Dublin. This role requires a dynamic, adaptable and well‑organised individual who is comfortable engaging with all aspects of Financial Crime that may impact our business. The role will also support our Syndicate at Lloyd’s and is based in London or Dublin with a hybrid schedule, offering the option of working two days remotely each week.
Job Description This is an exciting opportunity to join a growing compliance function as a Financial Crime Advisor. Working closely with the Senior Financial Crime Advisor and the wider Compliance Function, the successful candidate will be involved with all aspects of building out the Financial Crime framework across our business. The role will focus on providing comprehensive advice and support to the business while future‑proofing relevant sanctions systems and controls as our business continues to expand.
Responsibilities
Support the Senior Financial Crime Advisor across all business and product lines, exercising technical expertise and knowledge of the laws and regulations that underpin the organisation’s AML, CFT, sanctions and fraud compliance programme.
Provide support in developing and enhancing comprehensive AML, CFT, sanctions and fraud related systems and controls ensuring they remain fit for purpose with a particular focus on alignment and cohesiveness across the various offices.
Operate daily oversight and management of financial crime related referrals and output/alerts of sanction screening tools.
Support the Senior Financial Crime Advisor in the design and ongoing development of the financial crime business risk assessment, taking ownership for delivery of identified actions as required.
Identify gaps and/or areas for improvement in oversight of our third‑party business partners via the established delegated underwriting and claims audit programmes.
Conduct monitoring assurance reviews of first line procedures in accordance with the Compliance Function Monitoring Plan, escalating any area of concern or non‑compliance as appropriate, ensuring that remedial action is taken.
Develop and provide staff training, advocating best practices to the business through attendance at committees and divisional team meetings.
Ensure AML, CFT, sanctions and fraud expertise is maintained by continually monitoring global/jurisdictional political movements and highlighting potential emerging risks including how they may affect the various business lines.
Qualifications, Education&Experience
Comprehensive compliance experience working with international financial crime and sanctions regulations, ideally within a general insurance context– company, managing agent or managing general agent.
Demonstrable knowledge of financial crime risks within Global Wholesale and Specialty lines within the Lloyd’s of London market.
Strong technical skills and practical understanding of regulations and their application across the business.
Proficient technical knowledge in financial crime risk domains (KYC, CDD, AML, sanctions including EU, UK, US and UN regimes, fraud, bribery, corruption, and/or tax evasion).
Experience in reviewing processes and controls, suggesting improvements, and identifying inadequate or ineffective controls.
Understanding of relevant sanctions risks relating to Marine, Energy and Aviation insurance business is highly desirable. Dedicated support will be provided to build expertise in these classes as part of the development programme for this role.
Appropriate professional qualification, e.g. ACAMS, ACOI, ACII, ICA Diploma or similar.
Knowledge, Skills&Competencies
Collaborative in approach with strong emphasis on delivery and execution.
Exhibits a positive proactive attitude with excellent problem‑solving skills.
Articulate and confident when dealing with stakeholders, both internal and external.
Highly organised with attention to detail.
Flexibility to adapt to changes in an evolving company and market.
Ability to manage a busy workload independently.
Job Details Type: Regular
Time Type: Full time
Primary Location: London
Additional Locations: Dublin, Ireland
#J-18808-Ljbffr
Company: Everest Advisors (Uk), Ltd.
Job Category: Compliance Oversight
Summary The Financial Crime Advisor will be part of the wider Everest Global Wholesale&Specialty compliance function, currently based in London and Dublin. This role requires a dynamic, adaptable and well‑organised individual who is comfortable engaging with all aspects of Financial Crime that may impact our business. The role will also support our Syndicate at Lloyd’s and is based in London or Dublin with a hybrid schedule, offering the option of working two days remotely each week.
Job Description This is an exciting opportunity to join a growing compliance function as a Financial Crime Advisor. Working closely with the Senior Financial Crime Advisor and the wider Compliance Function, the successful candidate will be involved with all aspects of building out the Financial Crime framework across our business. The role will focus on providing comprehensive advice and support to the business while future‑proofing relevant sanctions systems and controls as our business continues to expand.
Responsibilities
Support the Senior Financial Crime Advisor across all business and product lines, exercising technical expertise and knowledge of the laws and regulations that underpin the organisation’s AML, CFT, sanctions and fraud compliance programme.
Provide support in developing and enhancing comprehensive AML, CFT, sanctions and fraud related systems and controls ensuring they remain fit for purpose with a particular focus on alignment and cohesiveness across the various offices.
Operate daily oversight and management of financial crime related referrals and output/alerts of sanction screening tools.
Support the Senior Financial Crime Advisor in the design and ongoing development of the financial crime business risk assessment, taking ownership for delivery of identified actions as required.
Identify gaps and/or areas for improvement in oversight of our third‑party business partners via the established delegated underwriting and claims audit programmes.
Conduct monitoring assurance reviews of first line procedures in accordance with the Compliance Function Monitoring Plan, escalating any area of concern or non‑compliance as appropriate, ensuring that remedial action is taken.
Develop and provide staff training, advocating best practices to the business through attendance at committees and divisional team meetings.
Ensure AML, CFT, sanctions and fraud expertise is maintained by continually monitoring global/jurisdictional political movements and highlighting potential emerging risks including how they may affect the various business lines.
Qualifications, Education&Experience
Comprehensive compliance experience working with international financial crime and sanctions regulations, ideally within a general insurance context– company, managing agent or managing general agent.
Demonstrable knowledge of financial crime risks within Global Wholesale and Specialty lines within the Lloyd’s of London market.
Strong technical skills and practical understanding of regulations and their application across the business.
Proficient technical knowledge in financial crime risk domains (KYC, CDD, AML, sanctions including EU, UK, US and UN regimes, fraud, bribery, corruption, and/or tax evasion).
Experience in reviewing processes and controls, suggesting improvements, and identifying inadequate or ineffective controls.
Understanding of relevant sanctions risks relating to Marine, Energy and Aviation insurance business is highly desirable. Dedicated support will be provided to build expertise in these classes as part of the development programme for this role.
Appropriate professional qualification, e.g. ACAMS, ACOI, ACII, ICA Diploma or similar.
Knowledge, Skills&Competencies
Collaborative in approach with strong emphasis on delivery and execution.
Exhibits a positive proactive attitude with excellent problem‑solving skills.
Articulate and confident when dealing with stakeholders, both internal and external.
Highly organised with attention to detail.
Flexibility to adapt to changes in an evolving company and market.
Ability to manage a busy workload independently.
Job Details Type: Regular
Time Type: Full time
Primary Location: London
Additional Locations: Dublin, Ireland
#J-18808-Ljbffr
Highlights
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Company nameEverest
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Job positionFinancial Crime Advisor
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