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Senior Compliance Executive/Compliance Officer

  • Port Louis
  • Negotiable
  • Permanent
  • Added 22/09/2025 
  • Closing 22/10/2025
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A known management company is looking for an experienced and motivated Senior Compliance Executive/Compliance Officer.

 

We are seeking a highly motivated and experienced professional to join our team as a Senior Compliance Executive / Compliance Officer. This is a senior-level role, with the Compliance Officer designation already approved by the Financial Services Commission (FSC) and requires deep knowledge of the regulatory landscape governing management companies in Mauritius. 

Key Responsibilities 

  • Act as Compliance Officer and/or MLRO/DMLRO for client entities, ensuring full compliance with FSC regulations, FIAMLA, FIAML Regulations, and AML/CFT guidelines. 
  • Lead the implementation and ongoing enhancement of the company’s compliance framework, including internal controls, policies, and procedures. 
  • Conduct periodic compliance reviews of client files and ensure timely statutory filings with the Registrar of Companies, FSC, and MRA. 
  • Oversee client onboarding and acceptance procedures, including KYC, CDD/EDD, and risk profiling. 
  • Coordinate with AML/CFT external auditors and ensure timely completion of independent AML/CFT audits. 
  • Prepare and submit regulatory returns, compliance reports, and board-level documentation. 
  • Monitor and classify clients under FATCA/CRS, including preparation of filings and declarations. 
  • Assist in transaction monitoring, flagging unusual activity, and escalating suspicious transactions. 
  • Maintain and update compliance registers, risk logs, and internal documentation. 
  • Prepare and review Business Risk Assessments (BRA) and Client Risk Assessments (CRA) in line with FSC expectations. 
  • Ensure clients operate within the scope of their licensed activities, staying abreast of relevant legislation and license conditions. 
  • Maintain an overview of client data and interactions via the company’s CRM system, ensuring compliance records are accurate and up to date. 
  • Liaise with regulators and coordinate responses to inspections, audits, and regulatory inquiries. 
  • Deliver training sessions to staff and management on compliance, AML/CFT, and regulatory developments. 
  • Monitor changes in local and international regulations (e.g., FATCA, CRS, EU directives) and advise management accordingly. 
  • Assist in legal research, drafting correspondence, and contributing to compliance-related publications. 
  • Any other cognate duties that may be assigned by the reporting Compliance Officer 

Qualifications & Skills 

  • LLB, LLM, ACAMS, or a degree in Law, Finance, Management, or related field.
  • Minimum 2–6 years of experience in compliance or risk management within financial services or management companies. 
  • Strong understanding of Mauritius’ regulatory landscape and international standards. 
  • Familiarity with FATCA/CRS, AML/CFT frameworks, and FSC licensing requirements. 
  • Excellent analytical, communication, and organizational skills. 
  • Proficiency in Microsoft Office, and experience with clients’ CRM system is a plus. 

We reserve the right: 

  • To call only the shortlisted candidates for interview. 
  • Not to make any appointment following this advertisement nor to assign any reason whatsoever for accepting or rejecting any candidate.

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