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Compliance Analyst

Descrição da vaga

Our Client acts as an investment manager in the Cayman Islands for commodity hedge funds focused on agricultural and energy commodities. We are seeking a Compliance Analyst to support the Compliance Officer in delivering regulatory compliance across all business lines. This engagement is structured as a service agreement with a Brazilian Pessoa Jurídica (PJ) — the selected professional must operate through their own registered Brazilian legal entity and will be contracted on a business-to-business basis. The role sits at the centre of the firm’s risk and compliance framework, with hands-on involvement in AML/CTF/CPF procedures, KYC, regulatory filings, and day-to-day compliance operations.

Working closely with the Compliance Officer and across investment, operations and administration functions, the engaged professional will help maintain a robust and well-documented compliance environment that meets the expectations of regulators, counterparties and clients. This is a high-accountability role suited to a compliance professional who takes ownership, communicates clearly, and thrives in a lean, high-trust team.


Purpose of the Role

To support the implementation and ongoing monitoring of the firm’s compliance and risk framework — ensuring regulatory obligations are met, client and counterparty KYC standards are upheld, and the organisation is well-prepared for regulatory oversight.

Responsabilidades e atribuições

KYC & Client Onboarding

  • Conduct KYC reviews and client risk assessments, including periodic review forms, assigning appropriate risk ratings under the supervision of the Compliance Officer;
  • Support the onboarding of new clients and funds, including performance of AML/CTF/CPF procedures;
  • Respond to KYC and due diligence requests from counterparties, prime brokers, administrators, custodians and correspondent banks, ensuring timely and accurate provision of the Organisation’s KYC documentation pack;
  • Maintain and update the Organisation’s KYC documentation pack, ensuring all entity documents, UBO information and regulatory certificates remain current;
  • Monitor client activity and escalate concerns to the Compliance Officer as appropriate.

Regulatory Filings & Reporting

  • Assist with FATCA and CRS obligations, including DITC registration, annual reporting and self-certification reviews;
  • Support Economic Substance Notification (ESN) filings and assist in assessing the Organisation’s economic substance obligations;
  • Assist with Beneficial Ownership Register (BOR) obligations and annual exemption notifications under the Beneficial Ownership Transparency Act;
  • Support the preparation and timely submission of Fund Annual Returns (FAR) and other CIMA regulatory filings;
  • Help prepare materials for AMLCO/MLRO reports and internal Board Reports.

Risk & Compliance Framework

  • Support the development and communication of the risk and compliance framework, with an emphasis on risk mitigation and business risk assessment;
  • Assist in reviewing and updating compliance policies in line with regulatory changes;
  • Contribute to the maintenance of the company’s risk register and risk appetite statement;
  • Support the preparation and updating of country risk assessments and the company’s geographical heat map;
  • Assist in maintaining compliance with CIMA’s Corporate Governance Rule and Internal Controls Rule, including supporting annual governing body reviews and documentation;
  • Maintain compliance logs and records as required by applicable governing regulations and CIMA guidance;
  • Monitor regulatory developments and relevant legislative changes, flagging updates to the Compliance Officer.

Monitoring, Training & CIMA Readiness

  • Assist in coordinating and conducting internal compliance reviews and monitoring activities;
  • Support the implementation of corrective actions to address identified compliance gaps;
  • Support the Organisation’s readiness for CIMA onsite inspections, including full-scope and thematic reviews;
  • Help foster a culture of compliance awareness throughout the Organisation;
  • Assist in delivering staff training on key AML regulations, cybersecurity procedures and internal policies;
  • Assist with the preparation of Compliance Letters and support operations with compliancerelated workflow improvements.

Requisitos e qualificações

  • University or business degree with a focus in Finance, Accounting and/or Law;
  • 3–5 years’ experience in a compliance role, preferably within an investment management or financial services environment;
  • Solid understanding of AML/KYC requirements and best practices, including experience handling third-party KYC and due diligence requests;
  • Professional compliance qualification (e.g., ACAMS) or active enrolment is advantageous;
  • Must be registered as a Pessoa Jurídica (PJ) in Brazil (MEI, ME, LTDA or equivalent) and able to issue Notas Fiscais for services rendered; the engagement does not constitute an employment relationship;
  • Strong written and oral communication skills, with good analytical and problem-solving ability;
  • Proficient in English with a high standard of written expression;
  • Organised, detail-oriented and capable of managing multiple tasks independently;
  • A proactive ap.

Informações adicionais

Ideal Candidate

  • Takes ownership and shows initiative — comfortable managing their workload with minimal direction;
  • Pragmatic and solutions-oriented — focused on getting things done correctly rather than over-engineering processes;
  • Comfortable in a small, high-trust, low-structure environment where judgment and discretion matter • Curious and commercially aware — interested in financial markets and the broader regulatory environment;
  • Strong attention to detail and commitment to accuracy across all compliance documentation and filings;
  • Able to communicate clearly with investment, operations and external counterparties.

What We Offer

  • A dynamic and collaborative environment within a growing alternative investment firm;
  • Direct exposure to a broad and varied compliance remit from day one;
  • Significant scope to take ownership of compliance processes and contribute to a well-run regulatory environment;
  • Deep involvement in Cayman Islands regulatory frameworks and commodities-focused fund compliance;
  • Competitive service fee commensurate with experience; engagement structured as a B2B service agreement with no employment relationship or statutory benefits.

Etapas do processo

  1. Etapa 1: Cadastro
  2. Etapa 2: Contratação

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