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Compliance Officer & MLRO - Asset & Investment Management

Capitex
UAE, UAE
fulltime
Director
6 months ago
AML (Anti-Money Laundering)KYC (Know Your Customer)Financial RegulationsData Privacy LawsCorporate GovernanceRisk Management
Free

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Key skills for this role

AML (Anti-Money Laundering)KYC (Know Your Customer)Financial Regulations
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Overview

Compliance Officer & MLRO – DFSA Regulated Firm (Asset & Investment Management)

Location

Dubai International Financial Centre (DIFC) Employment Type: Full-Time Seniority: Mid–Senior Level About the Opportunity A DFSA-regulated asset and investment management firm in the DIFC is seeking an experienced Compliance Officer & Money Laundering Reporting Officer (CO/MLRO) to lead its compliance and AML/CFT framework.

The successful candidate must have strong experience in asset management, investment management, private equity, or related financial services , with a solid understanding of DFSA regulations and DIFC regulatory expectations.

Key Responsibilities

Regulatory Compliance (DFSA Focus) Maintain and oversee the compliance framework in accordance with DFSA Rulebooks , including GEN, AML, COB, PIB, and CIR as relevant.

Ensure the firm’s policies, procedures, and governance documents meet DFSA standards.

Prepare, review, and submit periodic regulatory returns, notifications, and filings to the DFSA.

Track regulatory changes and implement required updates across the business.

MLRO Responsibilities Act as the firm’s appointed MLRO , responsible for all AML/CFT obligations under DFSA and UAE Federal requirements.

Oversee KYC/CDD, onboarding risk assessments, and ongoing monitoring of clients and counterparties.

Conduct investigations and file STR/SAR reports to the UAE FIU as required.

Deliver AML/CFT and financial crime training across the firm.

Monitoring, Assurance & Governance Develop and execute the firm’s Compliance Monitoring Plan (CMP) .

Lead periodic internal compliance reviews and risk assessments.

Conduct due diligence on investors, service providers, and counterparties.

Provide compliance and AML guidance to senior management and committees.

Liaise with DFSA supervisors, internal auditors, and external consultants.

Requirements

4–8 years of compliance experience within asset management, investment management, private equity, or similar regulated environments.

Strong knowledge of DFSA rulebooks , DIFC regulatory processes, and AML/CFT obligations.

Prior experience as CO/MLRO or Deputy CO/MLRO in a DFSA-regulated firm is highly desirable.

Ability to design, implement, and maintain compliance frameworks and monitoring plans.

Strong analytical, communication, and stakeholder management skills.

Professional certifications such as CAMS, ICA, CFA, or similar are a plus.

What We’re Looking For A proactive and commercially aware compliance professional.

Someone confident working in a boutique or mid-sized investment environment.

An individual capable of balancing regulatory expectations with business practicality.

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