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Head of Compliance – Portugal; M​/F H​/F

Job in Lisbon, Columbiana County, Ohio, 44432, USA
Listing for: Indosuez Wealth Management
Full Time position
Listed on 2026-07-04
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Wealth Management, Financial Compliance
  • Management
    Regulatory Compliance Specialist, Wealth Management
Job Description & How to Apply Below
Position: Head of Compliance – Portugal (M/F) H/F
Location: Lisbon

Head Of Compliance

Indosuez Wealth Management is the global wealth management brand of the Crédit Agricole Group, the world's 9th largest bank by balance sheet. For over 150 years, Indosuez has supported private clients, families, entrepreneurs and investors in managing and developing their wealth. With nearly 4,500 employees in 16 locations worldwide and around €200 billion in client assets, Indosuez is one of Europe's leading wealth management groups.

Indosuez Wealth Management in Europe

Headquartered in Luxembourg, Indosuez Wealth (Europe) serves international clients through its branches and subsidiaries across the continent, complementing the Group's presence in France, Monaco and Switzerland. Its European network includes teams in Spain (Madrid, San Sebastian, Bilbao, Valencia, Seville), Italy (Milan, Rome) and Portugal (Lisbon).

Job Summary

Reporting to the Chief Compliance Officer in Luxembourg, the Head of Compliance ensures that the Lisbon Branch operates in full compliance with applicable laws, regulations and internal policies.

Main Responsibilities

Ensure the branch's activities comply with local regulations and Group policies, adapting governance texts to local requirements.

Oversee financial security processes: AML/CFT, fraud prevention, conflict of interest, insider information, sanctions and data protection.

Perform compliance risk assessments and implement appropriate control frameworks and monitoring programs.

Promote a strong compliance culture within the branch, advising and training staff on relevant topics.

Supervise compliance controls, validate risk mappings, and follow up on recommendations and corrective actions.

Prepare and submit required internal and regulatory reports in a timely manner.

Manage client complaints in accordance with regulations.

Liaise with local regulators and authorities, representing the bank in coordination with the General Manager and the Chief Compliance Officer.

Contribute to transversal projects impacting operations and regulatory frameworks (MiFID II, IDD, ESG, ethics, etc.).

Implement Group compliance tools and ensure alignment with Head Office standards.

This position offers an opportunity to play a key role in maintaining the highest ethical and regulatory standards, within a leading European wealth management group combining global reach and local expertise.

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