KBC Group is looking for a Compliance Advisor to join our Financial Markets Unit. You will be a key part of Group Compliance, helping ensure our business is conducted fairly, honestly, and ethically by not only following regulations to the letter but also embracing their spirit.
What You'll Do
- Advise business stakeholders on compliance themes, providing support and creating organizational awareness.
- Check whether regulations are being effectively respected across the business.
- Focus on the protection of investors and policyholders and the prevention of market abuse.
Team & Environment
You will be part of Group Compliance, specifically within the Financial Markets Unit.
What We're Looking For
- Proven experience in a compliance advisory role within financial markets or a similar regulated environment.
- A strong understanding of regulations pertaining to investor protection and market abuse.
- The ability to effectively advise business stakeholders and provide training.
- Experience in monitoring and verifying regulatory compliance.
- A commitment to fostering a culture of fairness, honesty, and ethical business practices.
KBC Group is an equal opportunity employer.

