Our client is a globally recognized and multi-award-winning provider of CFD and forex trading services, regulated by leading financial authorities including those in Australia (ASIC), Cyprus (CySEC), and more. Originally established in Melbourne, the company now operates a network of offices across key global financial hubs.
The Cyprus branch, currently in a high-growth phase, offers an exciting opportunity to become part of its founding team and contribute directly to the core operations of the business. The company culture actively promotes internal mobility and professional development, encouraging employees to grow within their roles and pursue future opportunities across the wider group. This position not only offers a clear path for career advancement but also provides the chance to work in a collaborative and energetic team environment focused on delivering exceptional client support.
Role Overview:
The Head of Compliance will play a critical role in ensuring that the company meets all legal and regulatory obligations, with a particular focus on European operations. This includes developing and overseeing a comprehensive compliance framework that covers regulatory requirements for cross-border CFD activity, marketing conduct, and robust anti-money laundering (AML) measures.
This role is ideal for a strategic thinker who thrives in fast-paced environments, values innovation and collaboration, and is looking to make a meaningful impact in the evolving world of online financial services.