Hoist Finance is an asset manager specializing in non-performing loans. For more than 25 years, we have focused on investing in
and managing debt portfolios. We are a partner to international banks and financial institutions across Europe, acquiring
non-performing loan portfolios. We are also a partner to consumers and SMEs in a debt situation, creating long-term sustainable
repayment plans enabling them to convert non-performing debt to performing debt. Hoist Finance is listed on Nasdaq Stockholm, has
a Swedish credit market company license and is present in 13 markets across Europe. For more information, please visit
www.hoistfinance.com.
The role – what are your main focus areas?
As Group Senior Compliance Officer, you will take on a key role within Hoist Finance’s independent Group Compliance function in
supporting the business in managing compliance risks and strengthening the internal control environment across the Group.
The role has a broad mandate, with particular focus on AML/CTF, sanctions compliance, internal governance and control, third-party
risk management and emerging regulatory areas such as AI governance. You will provide expert advice, support the implementation of
effective controls and reporting processes, and work closely with the Risk Control function and other stakeholders to promote a
robust and sustainable control framework.
You will be based at Hoist Finance’s headquarters in Stockholm and work in an international environment with colleagues and
stakeholders across Europe. The role requires both strategic perspective and hands-on execution, including supporting allocated
markets where dedicated local Compliance resources are not in place.
The position reports directly to the Chief Compliance Officer and includes limited travel to Hoist’s markets.
Key responsibilities – what will you do?
awareness initiatives and training activities.
initiatives are aligned with regulatory requirements, business needs and the Group’s risk profile.
authorities.
relevant stakeholders on regulatory developments, compliance gaps and implementation status.
promoting awareness and contributing to effective governance and control over outsourced and external service arrangements.
governance and control, and third-party risk management.
clear responsibilities, effective coordination and alignment across the lines of defence.
remediation progress in allocated markets.
Who are you?
You hold a legal degree and have approximately 5-10 years’ experience from the financial sector, preferably in a cross-border or
international environment. You have strong knowledge of AML/CTF rules and regulations, restrictive measures, sanctions frameworks
and relevant industry practice.
You also have sound understanding of internal governance and control frameworks, including relevant regulatory expectations such
as the EBA Outsourcing Guidelines and DORA. To succeed in the role, you combine analytical thinking and structured problem-solving
with strong attention to detail, sound judgement and the ability to manage multiple priorities under tight deadlines.
You will become part of an experienced control environment where collaboration across Compliance, Risk and the business is an
important part of how we work. For the right person, this is an opportunity to take significant ownership and make an impact in a
senior international compliance role.
You communicate clearly and professionally, build trust with stakeholders, and are comfortable working both independently and
collaboratively in a matrix organisation. Excellent written and spoken English is required; Swedish or other European languages
are considered an advantage.
How to apply
In this recruitment we are working together with Länk Recruitment. All applications will be reviewed, and interviews will be
performed on a rolling basis. To ensure all applications are properly reviewed and tracked, we kindly request that applications be
submitted exclusively through the application link. Applications sent via email will not be considered.
Länk Recruitment is an interim and recruitment agency specializing in Legal, Compliance, Tax, Risk, Internal Audit, and ESG. Run
by experienced legal professionals, we have the expertise to quickly understand complex matters and guide both clients and
candidates seamlessly through the recruitment process.
At Länk Recruitment, we operate across industries with a commitment to inclusivity, consistency, and a skills-based approach.
Transparency is one of our core values, and we are dedicated to helping our clients achieve success with our support.
Discover more about our expertise in talent acquisition.
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