Senior Compliance

UAE
May 12, 2026
Application ends: July 31, 2026
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Job Description

ROLE OVERVIEW:

We are seeking a detail-oriented and proactive Senior Compliance, located in the UAE, to join a fast-growing fintech company specializing in trading and financial technology solutions. The successful candidate will work closely with senior management, operations, and client-facing teams to maintain strong compliance and governance frameworks.

KEY RESPONSIBILITIES:

  • Support the development, implementation, and maintenance of the firm’s compliance framework in line with SCA requirements
  • Monitor regulatory developments and assess their impact on business operations and policies
  • Act as a point of contact for regulatory queries and internal compliance matters
  • Assist with regulatory reporting, audits, and internal reviews
  • Review and approve client onboarding documentation and account activity
  • Support compliance training and awareness programs across the organization
  • Investigate potential breaches and support remediation actions
  • Maintain accurate compliance records and documentation
  • Act as the primary point of contact for the Securities and Commodities Authority (SCA), managing inspections, inquiries, and regulatory reporting (e.g., in SCA CORE)
  • Develop and update internal compliance policies and procedures aligned with UAE regulations
  • Oversee Anti-Money Laundering (AML) controls, review account opening documentation, conduct onboarding due diligence (KYC), and file Suspicious Transaction Reports (STRs) via goAML
  • Conduct ongoing monitoring of trading activity and firm operations (including margin requirements for CFDs) to ensure compliance
  • Provide strategic leadership and full accountability for the AML/Compliance department, MLRO, including driving transformation initiatives, implementing regulatory changes, and enhancing overall effectiveness and governance

QUALIFICATIONS & EXPERIENCE

  • Bachelor’s degree in Law, Finance, Business, or a related field
  • Minimum 5 years of experience in a compliance role within fintech, trading, brokerage, or financial services.
  • Accredited by CISI, supporting his suitability for the role
  • Expertise in SCA regulations, AML laws, MLRO, DMLRO, and financial market products.
    Solid understanding of AML, KYC, CDD, and financial crime frameworks
  • Experience working with trading platforms or financial products is an advantage
  • Held previous compliance functions
  • Fluent in both Arabic and English

SKILLS & COMPETENCIES

  • Strong attention to detail and analytical skills
  • Holding CISI degree that allows him to be in this position
  • Excellent written and verbal communication skills
  • Ability to work independently and manage multiple priorities
  • Strong stakeholder management and cross-functional collaboration skills
  • High ethical standards and sound professional judgment
  • Proficient in compliance monitoring tools and documentation system
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