Regulator I, Compliance Inspection Unit

Regulator I, Compliance Inspection Unit

Full-Time 30000 - 40000 £ / year (est.) No working from home possible
BVI Financial Services Commission

At a Glance

  • Tasks: Conduct compliance inspections and risk assessments across various sectors.
  • Company: Join the BVI Financial Services Commission, a leader in financial regulation.
  • Benefits: Gain valuable experience in a dynamic regulatory environment with career growth opportunities.
  • Other info: Collaborative team culture with a focus on continuous learning and professional development.
  • Why this job: Make a real impact in financial compliance and contribute to a safer financial system.
  • Qualifications: Bachelor's degree in relevant fields or equivalent experience; AML/CFT knowledge is a plus.

The predicted salary is between 30000 - 40000 £ per year.

The BVI Financial Services Commission (“the Commission”) is seeking a highly motivated professional to join its Regulatory Divisions in the role of Regulator I - Compliance Inspection. Candidates will join the Commission’s cadre of professionals to assist in coordinating and delivering onsite examinations across all sectors. The primary focus will be AML/CFT and prudential inspections by undertaking full scope and/or thematic examinations of specific entities or sectors based on identifiable risks. Applicants should be independently motivated and able to work as part of diverse teams across various sectors of the organisation.

Candidates must be able to adhere to the Commission’s service standards and strict requirements for confidentiality, demonstrate an ability to prioritize and manage competing priorities while maintaining keen attention to details and accuracy in the quality of work produced. Professionally recognised qualifications related to AML/CFT, compliance, regulation, trust and company management is an asset. Candidates will be evaluated based on the criteria below and will be required to complete assessments as part of the interview process.

Duties and Responsibilities:

  • Implement the Commission’s Risk Assessment Framework relevant to CIU activities;
  • Conduct risk assessments immediately after inspection;
  • Assist in planning the inspection schedule;
  • Assist in the planning, conducting and reporting on compliance inspections;
  • Make recommendations for required corrective actions based on the findings in the compliance inspection reports;
  • Ensure CIU’s service standards are met;
  • Assess and analyse relevant compliance, supervision and regulation data as part of inspection process;
  • Assist with analysis of contraventions identified in compliance inspections against statutory requirements and prepare appropriate letters, memoranda, and decision papers for submission to the statutory committees;
  • Write/prepare/present papers for matters to be considered by the statutory committees and FSC Board;
  • Represent the Commission at local and overseas conferences for continuous education and to keep abreast of changes in the international regulatory environment;
  • Undertake ad-hoc projects and tasks as assigned.

Qualifications/Knowledge and Experience Required:

  • Bachelor’s degree in Finance, Accounting, Economics, Business Management or a related field; or Associates degree in Finance, Accounting, Economics, Business Management or a related field with 4 years of relevant experience in the Financial Services or relevant industry;
  • Professional Qualifications a plus: Anti-Money Laundering and or Fraud Prevention & Detection, regulation and supervision;
  • Knowledge of domestic financial services legislation, in particular the anti-money laundering regime;
  • Knowledge of international standards related to supervision and regulation (IOSCO, Basel, GIFSCs, GIICS, IAIS, FSB, FATF and CFATF);
  • Good analytical capability;
  • Good oral and written communication skills;
  • Ability to maintain professionalism and strict confidentiality;
  • Ability to work independently and as part of a team;
  • Good time management, organisational and interpersonal skills;
  • Highly self-motivated with keen attention to detail and accuracy;
  • Proficient in using Office applications or equivalent (i.e. Word, Excel, PowerPoint).

Competencies:

  • Professionalism – complies with Commission’s code of conduct, acts with integrity and shows respect;
  • Quality of Work– consistently produces work that is thorough, accurate, relevant, timely, and in accordance with Commission’s policies, procedures and best practices;
  • Communication – effectively, professionally and comprehensively communicates, both orally and in writing, with colleagues, licensees and a large cross-section of industry representatives, in a timely and helpful manner;
  • Team Success- is a cooperative, helpful, and constructive member of the team who willingly shares opinions and ideas and makes suggestions on how to improve processes and service;
  • Time Management- effectively plans, coordinates, and seeks the most efficient methods to schedule, prioritize, and complete assignments within deadlines;
  • Customer Excellence - builds positive relationships with internal and external customers by determining their specific needs and responding in a timely, professional and courteous manner;
  • Continuous Improvement – constantly learning and developing skills and identifying and embracing changes to improve processes and practices within the organization;
  • Confidentiality– protects and does not disclose any information relating to the affairs of the Commission to any unauthorized persons in or outside of the Commission, at all times.

Application Direction:

Applicants must submit the following:

  • Cover letter indicating the position being applied for;
  • Resume;
  • Two (2) professional reference letters;
  • One (1) personal reference letter;
  • Certified copies of identification;
  • Certified copies of academic certification and or diplomas.

Closing Date: 10 June 2026

Regulator I, Compliance Inspection Unit employer: BVI Financial Services Commission

The BVI Financial Services Commission is an exceptional employer, offering a dynamic work environment that fosters professional growth and development in the regulatory field. With a strong commitment to integrity and excellence, employees benefit from comprehensive training opportunities, a collaborative culture, and the chance to make a meaningful impact on the financial services sector in a beautiful Caribbean location. Join us to be part of a dedicated team that values professionalism and continuous improvement while ensuring compliance with international standards.

BVI Financial Services Commission

Contact Details:

BVI Financial Services Commission Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Regulator I, Compliance Inspection Unit

Tip Number 1

Network like a pro! Reach out to professionals in the compliance and financial services sectors. Attend industry events or webinars, and don’t be shy about introducing yourself. You never know who might have the inside scoop on job openings!

Tip Number 2

Prepare for interviews by brushing up on your knowledge of AML/CFT regulations and the Commission’s standards. Practice common interview questions and think about how your skills align with the role. Confidence is key, so show them you’re the right fit!

Tip Number 3

Don’t just apply and wait! Follow up on your applications after a week or two. A quick email can show your enthusiasm and keep you on their radar. Just make sure to keep it professional and polite!

Tip Number 4

Use our website to apply directly! It’s the best way to ensure your application gets seen. Plus, you’ll find all the resources you need to prepare for assessments and interviews. Let’s get you that job!

We think you need these skills to ace Regulator I, Compliance Inspection Unit

AML/CFT Knowledge
Compliance Inspection
Risk Assessment
Data Analysis
Report Writing
Communication Skills
Time Management

Some tips for your application 🫡

Craft a Compelling Cover Letter:Your cover letter is your chance to shine! Make sure to highlight your relevant experience in AML/CFT and compliance. Show us why you're the perfect fit for the Regulator I role by connecting your skills to the job description.

Tailor Your Resume:Don’t just send a generic resume! Tailor it to reflect the qualifications and competencies mentioned in the job description. Emphasise your analytical skills and any professional qualifications you have related to financial services.

Gather Strong References:We want to hear about your past performance! Choose references who can vouch for your professionalism and attention to detail. Make sure they know what the role entails so they can provide relevant insights.

Follow Application Instructions Carefully:Pay close attention to the application requirements. Ensure you upload all necessary documents through BambooHR as specified. Missing something could set you back, so double-check everything before hitting submit!

How to prepare for a job interview at BVI Financial Services Commission

Know Your AML/CFT Stuff

Make sure you brush up on your knowledge of Anti-Money Laundering and Counter Financing of Terrorism regulations. Be prepared to discuss how these apply to the role and give examples of how you've dealt with compliance issues in the past.

Show Off Your Analytical Skills

Since this role involves a lot of data analysis, be ready to demonstrate your analytical capabilities. Think of specific instances where you've successfully assessed risks or conducted inspections, and be prepared to explain your thought process.

Team Player Vibes

This position requires working as part of diverse teams, so highlight your teamwork skills. Share examples of how you've collaborated with others to achieve common goals, and show that you're open to feedback and new ideas.

Attention to Detail is Key

Given the importance of accuracy in compliance inspections, emphasise your attention to detail. Prepare to discuss how you ensure quality in your work and any systems you use to keep track of important information.