Sachbearbeiter:in Compliance Office bei PostFinance, verantwortet Compliance-relevante Fälle und Anliegen aus der Teammailbox. Abwechslungsreiche Aufgaben in einem hybriden Arbeitsumfeld in Bern mit Homeoffice-Option.
Responsibilities
You take administrative responsibility for the structured and high-quality handling of compliance-related cases
You handle standardized as well as more complex matters independently and ensure reliable execution
You actively manage the pending-items workflow, monitor deadlines and ensure they are met
You manage the team mailbox and coordinate incoming requests efficiently
You occasionally handle telephone calls with clients and conclusively resolve open issues
Requirements
Completed commercial vocational training, ideally with experience in a bank or in a legal environment (law firm, court, etc.)
Structured and precise way of working with high quality standards
Quick comprehension and a reliable approach to handling more complex matters
Clinical Compliance Manager leading clinical compliance and risk mitigation efforts for Texas Health Action. Overseeing documentation audits and compliance with healthcare regulations and standards.
Advisor Practice Compliance analyzing business practices of advisors within distribution networks. Overseeing daily operations in mutual fund disciplines and compliance framework.
SOX Compliance Analyst testing design and operating effectiveness of SOX controls at a leading commercial bank. Completing documentation and supporting external auditors with compliance standards.
Head of Regulatory Affairs leading Lloyds Banking Group’s Regulatory Strategy and ensuring compliance with regulations. Acting as the primary contact for regulators and providing strategic insights to senior management.
Senior Manager for FCA Regulatory Affairs at Lloyds Banking Group, managing regulatory strategies and compliance. Building strong relationships with the FCA and delivering impactful regulatory advice.
IT Audit Senior Manager leading IT audit and assurance engagements in a global accounting firm. Guiding teams in complex IT and regulatory environments with a hybrid work setup.
Head of FCA Regulatory Affairs at Lloyds Banking Group ensuring successful delivery of Regulatory Strategy and managing FCA relationships and regulatory interactions.
Study Start Up Associate II at ICON facilitating regulatory submissions and study progress for clinical trials. Collaborating with diverse teams to maintain regulatory compliance and document approvals.
Regulatory Technician working with Clinical Trials Information System at ICON plc in Mexico. Supports regulatory submissions, data management, and collaboration with stakeholders.
Environmental Analyst ensuring compliance through practical support and strategic partnerships with cross - functional teams at Mainspring. Driving improvements in environmental workflows and data systems.