Compliance Officer – Regulatory & Advisory (M/F/X)
Veröffentlicht am 25/04/2026
Manpower Luxembourg S.A.
Client Description:
Manpower is looking for a Compliance Officer – Regulatory & Advisory for one of its clients in the banking sector, based in Luxembourg, as part of a temporary assignment.Job Description:
Candidate Profile:
What Client Offers:
Manpower is looking for a Compliance Officer – Regulatory & Advisory for one of its clients in the banking sector, based in Luxembourg, as part of a temporary assignment.Job Description:
Your missions:
- Provide strategic advice and contribute to policy development in key compliance areas such as market abuse, institutional conflicts of interest and MiFID
- Identify compliance obligations, assess risks and support the implementation of appropriate control frameworks
- Deliver guidance on managing compliance risks, including monitoring, reporting, remediation and continuous improvement
- Prepare and draft policies, procedures, compliance opinions and risk assessments for new products or mandates
- Support oversight and testing activities to ensure compliance with regulatory requirements and internal policies
- Collaborate with business teams to develop practical solutions, including digital tools, to strengthen compliance and improve efficiency
- Contribute to and support digitalisation initiatives, including testing, implementation and training activities
- Conduct regulatory analyses and provide recommendations based on evolving laws, regulations and industry standards
- Monitor compliance across the organisation and advise on improvements to control frameworks and internal processes
- Identify gaps and propose remediation actions or enhancements to internal controls
- Act as a key point of contact for compliance-related queries and provide expert guidance to stakeholders
- Support and coach junior team members, contributing to knowledge sharing and team development
- Participate in the development and review of training materials and awareness initiatives
- Maintain up-to-date knowledge of regulatory developments, best practices and industry trends
- Lead or contribute to working groups, workshops and benchmarking initiatives within the compliance domain
Candidate Profile:
Your profile:
- Master’s degree in Law, Economics, Finance or a related field
- Minimum 5 years of experience in compliance, legal, regulatory, audit or control functions, ideally within the financial sector
- Strong knowledge of market abuse, conflicts of interest and MiFID frameworks is an advantage
- Experience in compliance risk assessment, monitoring and oversight activities
- Exposure to digitalisation projects or tools within compliance is a plus
- Excellent analytical skills with the ability to process large amounts of information efficiently
- Pragmatic mindset with a strong understanding of business and operational needs
- Strong communication and drafting skills, with the ability to influence stakeholders
- Ability to work autonomously and manage multiple priorities
- Fluent in English and/or French, with a good command of the other language; additional languages are an asset
What Client Offers:
Interested in this opportunity? Apply now!