Compliance Officer
Quick Summary
The position the Regulatory Compliance Officer supports the Regulatory Compliance function in ensuring adherence to Swiss regulatory requirements applicable to Private Banking, with a focus on Market Conduct, FIDLEG, Cross-Border activities, Third Parties oversight and Client Tax compliance…
Market Conduct Monitor employee personal account dealing and staff transactions. Support surveillance activities related to market abuse and conduct risk. Contribute to conduct-related reporting and control testing.
The position the Regulatory Compliance Officer supports the Regulatory Compliance function in ensuring adherence to Swiss regulatory requirements applicable to Private Banking, with a focus on Market Conduct, FIDLEG, Cross-Border activities, Third Parties oversight and Client Tax compliance (FATCA/CRS).
Responsibilities
~1 min read- Monitor employee personal account dealing and staff transactions.
- Support surveillance activities related to market abuse and conduct risk.
- Contribute to conduct-related reporting and control testing.
- Support client classification and reclassification processes (opt-up/opt-down).
- Review client transactions/documentation to ensure compliance with duty of information, suitability requirements.
- Assist in monitoring best execution and conflict of interest frameworks.
- Provide regulatory guidance to Front Office on FIDLEG-related matters.
- Assess cross-border implications in client onboarding and account maintenance.
- Support review of employee travel activities and cross-border servicing restrictions.
- Maintain cross-border country guidelines and provide regulatory advice.
- Support outsourcing and vendor arrangements from a regulatory perspective.
- Assist in FATCA and CRS oversight, mainly documentation reviews and ongoing monitoring.
- Contribute to regulatory reporting and remediation processes where required.
- Assist to prepare reports, KRIs and other indicators to the regulatory compliance committees.
Requirements
~1 min read- Minimum 3-5 years experience in Compliance functions within Private Banking
- Experience with regulatory projects
- FATCA, CRS related experience is an assets
- Excellent Microsoft Office skills
- Knowledge of Latin American markets is an asset
- Knowledge of Swiss regulatory framework applicable to Private Banking & wealth management
- Knowledge of financial products and regulatory requirements
- Team player and pro-active, willing to take responsibility
- Suits well in an international environment
- Strong intercultural and interpersonal skills
- Seeks to join the collaborative working environment of a dynamic international team and to share experience acquired to excel as a team
- Exceptional communication skills
- Very Good interpersonal relationship
- University degree in Law or Business Administration or relevant experience by means of a Banking education with additional Compliance focused certifications
- Compliance Degree (DAS or similar)
Location & Eligibility
Listing Details
- Posted
- February 27, 2026
- First seen
- May 6, 2026
- Last seen
- May 8, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 11%
- Scored at
- May 6, 2026
Signal breakdown
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