Senior Consultant, Regulatory & Compliance Advisory (Asset & Wealth Management)
Luxembourg, LU
Posted the 21/10/2025
Reference : QHC14
About the Company
Our client is a fast-growing advisory firm supporting asset managers and investment firms in managing complex regulatory and compliance challenges across asset classes such as traditional funds, private equity, real estate, and infrastructure.
Our client is a fast-growing advisory firm supporting asset managers and investment firms in managing complex regulatory and compliance challenges across asset classes such as traditional funds, private equity, real estate, and infrastructure.
About the Role
We are seeking a Senior Consultant in Regulatory & Compliance Advisory to join a dynamic team serving leading players in the Luxembourg financial sector.
You will contribute to regulatory assessments, design and implementation of compliance frameworks, and support clients in meeting their ongoing regulatory obligations.
We are seeking a Senior Consultant in Regulatory & Compliance Advisory to join a dynamic team serving leading players in the Luxembourg financial sector.
You will contribute to regulatory assessments, design and implementation of compliance frameworks, and support clients in meeting their ongoing regulatory obligations.
What You’ll Do
- Regulatory Reviews & Impact Assessments:
Conduct or support assessments of existing and upcoming regulations (UCITS, AIFMD, MiFID II, SFDR, DORA, CSSF Circulars, etc.) and translate findings into practical recommendations. - Policies & Procedures:
Draft, review, and enhance compliance frameworks, internal policies, and procedures tailored to client needs. - Monitoring & Controls:
Assist in the design and implementation of compliance risk assessments (CRA) and compliance monitoring plans (CMP). - Client Project Delivery:
Manage workstreams or smaller projects, ensuring timely and high-quality deliverables in coordination with senior team members and client stakeholders. - Advisory Support:
Provide clear, business-oriented compliance advice under the guidance of Managers and Senior Managers. - Team Collaboration:
Act as a reference point for junior consultants, supporting their development and ensuring efficient teamwork. - Continuous Learning:
Stay up to date with regulatory developments and contribute to internal knowledge sharing initiatives.
About You
- Experience:
3–5 years of experience in compliance, regulatory advisory, or risk management within financial services or consulting.
Sound understanding of Luxembourg and EU regulatory frameworks (UCITS, AIFMD, MiFID II, SFDR). - Education:
Bachelor’s or Master’s degree in Law, Economics, Finance, or Business. - Skills:
- Strong analytical and problem-solving skills.
- Excellent written and verbal communication.
- Proven ability to manage multiple tasks and deliver on deadlines.
- Client-oriented mindset and attention to quality.
- Strong analytical and problem-solving skills.
- Languages:
Fluent English; French and/or German are considered strong assets. - Mindset:
Proactive, structured, and able to work both independently and as part of a collaborative team.
Why Join:
- Opportunity to work on high-impact projects for leading asset and investment managers.
- Supportive environment fostering learning and growth.
- Exposure to senior stakeholders and complex regulatory matters.