Compliance Officer

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Angajator: Credit Agricole
Domeniu:
  • Banci
  • Tip job: full-time
    Nivel job: 1 - 5 ani experienta
    Orase:
  • BUCURESTI
  • Actualizat la: 22.06.2016
    Remote work: On-site
    Scurta descriere a companiei

    Subsidiară a Crédit Agricole Group, lider în economia franceză și unul dintre cele mai mari grupuri bancare din lume, Crédit Agricole Bank România este o bancă universală, oferind servicii persoanelor fizice, companiiilor mari și întreprinderilor mici și mijlocii, care creează și promovează cele mai înalte standarde de calitate. Expansiunea Crédit Agricole Group se bazează pe o creștere echilibrată care servește economiei reale și respectarea intereselor a 52 milioane de clienți, 1,1 milioane acționari, 8,2 milioane acționari cooperatiști și 140.000 de angajați.

    Cerinte

     University degree, preferably in Economics;
     Good knowledge of relevant banking legislation;
     Minimum 3 years of banking experience, with good knowledge of banking operations and transactions especially in KYC/AML/CFT.
     Very well organised, with good communication skills and interactions with the colleagues;
     Significant analytical skills, rigorous, serious, committed and attentive to details;
     Experience in Compliance area
     Fluency in English, both spoken and written.

    Responsabilitati

    • Participates to the development and periodical review and update of the compliance policies and procedures for prevention of money laundering, terrorism financing and know your customer;
    • Monitor the implementation of internal regulations and legislation on prevention of money laundering and terrorism financing;
    • Analyses on a regular basis and in due time of the specific financial-banking regulations for the proper application of such provisions in the Bank;
    • Participate in the development / implementation of projects in order to ensure compliance with laws, regulations and applicable national and international standards;
    • Analyze banking transactions using specific tools in order to identify and report suspicious transactions, according to Law 656/2002
    • Carries out control actions in the area of compliance, prevention of money laundering and terrorist financing;
    • Perform, upon request, internal compliance investigations throughout the Bank; Report cases found as non-compliant and propose remedial measures
    • Provides opinions on account opening, account closures, continuing relationship, processing of transactions;
    • Responsibilities for KYC, AML and CFT.
    • Provide verification and sending the mandatory reports according with Law 656/2002
    • Develop answers to the Authorities at their request
    • Communication and collaboration with institutions and authorities, for various compliance issues, including matters related to the Bank’s customers;
    • In co-operation with Human Resources Division (Training Dpt.), participates to the development of a comprehensive training program and conduct or provide compliance training sessions for employees.

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