We are looking to strengthen our compliance function and are seeking a Compliance Officer for our Stockholm office.
The ideal candidate has several years of experience working within an investment firm, with deep expertise in MiFID II regulation.
You will work at out Stockholm Office and be a part of the Group Compliance Team supporting the business in maintaining regulatory compliance across a wide range of activities.We are looking for someone who is structured and meticulous, with the ability to translate complex regulatory requirements into clear, actionable guidance for the business.
You take ownership of your work, exercise sound judgment, and are confident engaging with stakeholders at all levels of the organisation.We value a Compliance Officer who is not only skilled in identifying risks and ensuring regulatory adherence, but who also acts as a trusted advisor—someone who helps the organisation operate efficiently while remaining compliant.
Responsibilities
Qualifications
Personal Attributes
What We Offer
We offer the right candidate a challenging and rewarding position in a growing investment firm, with varied responsibilities and strong opportunities to influence. You will join a positive and professional team of 14 colleagues you will work closely with. We support professional development through courses and seminars.
Application
The application must include a cover letter, CV, grade transcripts from university, and any other relevant documents.
Apply here
Application deadline is November 28th 2025, but applications will be reviewed on a rolling basis.