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DEPARTMENT DESCRIPTION
The Compliance team of Hogan Lovells is responsible to carry out client due diligence (CDD) on new and existing clients of the firm. This is mainly done by applying the most recent UK Money Laundering Regulations. Amongst other things this involves identifying and verifying who controls and owns the client entity and assessing the risk posed by the business relationship.
ROLE DESCRIPTION
The role of a Compliance Analyst is primarily to conduct CDD on new clients and ensure that the relevant AML policies and procedures to which the firm adheres to are fulfilled at all times.
A Compliance Analyst will be required to revies work completed by Compliance Assistants and Junior Compliance Analysts and demonstrate basic leadership skills.
A Compliance Analyst will also be required to conducting ongoing monitoring on existing clients of the firm and coordinate work on an ad hoc basis.
In addition, Compliance Analysts are required to participate or lead with complex team projects.
KEY RESPONSIBILITIES
Client Research
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