About Our ClientOur client is a trust & fiduciary services company based in Switzerland.Job DescriptionIntegration within the structure;Overseeing risk and compliance monitoring for entities;Act as the official Risk and Compliance Officer, with the corresponding responsibilities;Monitoring transactions based on bank statements and internal records;Filing bank statements of all the structures administered by the entities;Preparing and filing CRS and FATCA reports;Liaising with banks, fiduciaries, accountants and other counterparties to obtain financial statements of underlying entities;Maintaining and updating client profiles, entity profiles and structure charts;Maintaining and updating the list of mandates / missions;Preparing board minutes and corporate documentation for entities and structures;Preparing AML file notes regarding transactions;Assisting with the administrative follow-up of trusts, foundations and companies;Reporting to the clients and the Management;Participation of the day to day in the office.The Successful ApplicantAcademic background in Finance, Economy, Law or Trust;At least 10 years of relevant experience, ideally in trust administration, fiduciary, private client or compliance roles in Switzerland;Very good knowledge in risk, compliance, law in trust administration, fiduciary and wealth management;Fluent in French and in English;Senior, autonomous and well-organized profile;Sense of confidentiality;Start date ideally on the 1st May 2026 or flexible.What\'s on OfferOur client offers a 70% permanent contract within a small but sophisticated private-client environment.ContactContact: Mathieu RaynotQuote job ref: JN-032026-6973871
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