Compliance Officer – Regulatory Affairs (M/F/X)

25/06/2026

Compliance Officer – Regulatory Affairs (M/F/X)

25/06/2026
  • Location: LUXEMBOURG
  • Type: Temporary
  • Job #14893

Client Description:
Manpower is recruiting a Compliance Officer – Regulatory Affairs for one of its clients operating in the institutional banking sector in Luxembourg, for a temporary assignment.Job Description:

Your missions:

  • Monitor and assess regulatory requirements related to compliance, with a particular focus on market abuse, institutional conflicts of interest and MiFID regulations
  • Identify, assess and manage compliance risks while contributing to the design and enhancement of control frameworks
  • Draft, review and update compliance policies, procedures, opinions and regulatory guidance documents
  • Advise business teams on regulatory requirements and compliance risks associated with existing activities, new products and strategic initiatives
  • Support risk assessments, compliance monitoring, oversight testing activities and remediation plans
  • Conduct regulatory analyses and provide recommendations to ensure compliance with applicable laws, regulations and internal policies
  • Contribute to digitalisation and process improvement initiatives aimed at strengthening compliance controls and operational efficiency
  • Collaborate closely with business units, control functions and other stakeholders across the organisation
  • Prepare reports, presentations and compliance-related documentation for management and internal stakeholders
  • Support the development and delivery of compliance awareness and training initiatives
  • Provide guidance and knowledge-sharing support to junior team members

Candidate Profile:

Your profile:

  • Master’s degree in Law, Finance, Economics or a related field
  • At least 5 years of professional experience in banking compliance, regulatory affairs, audit, internal controls, financial supervision or a related area
  • Strong understanding of financial regulations and compliance risk management frameworks
  • Knowledge of market abuse regulations, institutional conflicts of interest and MiFID requirements would be considered a strong asset
  • Experience with compliance monitoring, risk assessments and control testing activities
  • Exposure to digitalisation, automation or compliance technology projects would be an advantage
  • Excellent analytical, problem-solving and drafting skills
  • Ability to manage multiple priorities and work effectively in a highly regulated environment
  • Strong communication and stakeholder management skills, with the ability to influence through expertise and sound judgement
  • Excellent command of English; knowledge of additional European languages would be an asset

What Client Offers:
Interested in this opportunity? Apply now!

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