Regulatory Compliance Officer | B+C
Contract Type
Financial Services


Function information

  • Assisting the head of Compliance with day-to-day Regulatory Compliance matters, such as advertisement, MiFID or Market Abuse related rules.
  • Participating to the development and the execution of the Compliance Action Plan and the Compliance Monitoring Plan for MiFID, Market Abuse, Governance and Miscellaneous topics.
  • Supporting for the review and the development of policies and procedures
  • Developing and delivering training on the Regulatory Compliance topics like MiFID
  • (suitability test, reporting, profiling...) or Market Abuse.
  • Ensuring the day-to-day update of the Conflict of Interest Register and of the register of
  • FSMA approvals for advertisements.


  • Master’s in law or economics
  • French or Dutch written and spoken
  • English written and spoken
  • 1-3 years of experience in Compliance or Audit
  • Ability to work in an independent, efficient, hands-on and proactive way
  • Having analytical, communication, diplomatic, research and drafting skills
  • Offer

    We will be able to offer you a flexible working environment where work-life balance matters whilst having an intellectual challenge allowing you to grow, as well as a competitive package.