The Expertise and Skills You Bring
• Educational Background: A bachelor’s degree is required, degrees in law, finance, business administration, or a related field is preferred.
• Experience: A minimum of 4 years in compliance, risk management, or legal roles, with experience in highly regulated industries like financial services. Strong attention to detail and experience working on procedures and controls.
• Regulatory Knowledge: Familiarity with compliance laws, regulations, and industry standards, particularly those relevant to digital assets and financial services.
• Testing Experience: Exposure testing approaches through risk assessment, control testing, compliance testing, audit, gap analysis, or other investigative processes.
• Analytical and Problem-Solving Skills: Ability to identify compliance vulnerabilities and develop corrective action plans.
• Communication and Leadership: Strong interpersonal skills to effectively collaborate in a fast-paced environment with various departments to cultivate a culture of compliance.
• Project Management: Comfort in dynamic environments, ability to shift priorities and manage projects across multiple functions and timelines.
• Certifications: Professional certifications such as Certified Compliance and Ethics Professional (CCEP) are advantageous.