
Compliance Analyst
Compliance Analyst
Location: Birkikara
About the Role
We are looking for an experienced Compliance Analyst to join our Compliance and Financial Crime team based in Malta. This role is ideal for someone with a strong background in fintech or financial services who has hands-on experience in AML, financial crime investigations, compliance monitoring, and regulatory compliance.
Reporting to the Compliance Officer, you will act as the deputy compliance lead on the ground, supporting the day-to-day compliance function while ensuring the business maintains the highest regulatory standards.
Key Responsibilities
- Monitor and investigate unusual transaction activity that may indicate money laundering, terrorist financing, fraud, or other financial crime.
- Conduct detailed investigations into customer activity, transaction patterns, and the purpose of payments.
- Collect, analyse, and document relevant customer, account, and transaction data.
- Perform transaction monitoring reviews and escalate suspicious activity where appropriate.
- Support the onboarding process for high-risk customers, including enhanced due diligence (EDD) reviews.
- Execute and contribute to the Compliance Monitoring Programme, ensuring adherence to internal policies and regulatory obligations.
- Assist with internal and external audits and support remediation activities.
- Research and analyse emerging financial crime risks, trends, and regulatory developments.
- Collaborate with business stakeholders to ensure compliance risks are appropriately managed.
- Support the Compliance Officer by acting as their deputy and providing guidance on day-to-day compliance matters.
- Maintain accurate records and prepare reports for management and regulatory purposes.
Requirements
Essential
- Approximately 5 years’ experience in Compliance, AML, Financial Crime or Regulatory Compliance.
- Experience within a FinTech or wider financial services environment (payments, EMI, PSP, banking or similar).
- Strong understanding of AML/CFT regulations and financial crime frameworks.
- Experience operating or contributing to a Compliance Monitoring Programme.
- Hands-on experience with transaction monitoring systems and alert investigations.
- Experience managing or reviewing high-risk customer onboarding and Enhanced Due Diligence (EDD).
- Experience supporting or managing regulatory and internal audits.
- Good understanding of regulatory requirements applicable to payment institutions and financial services.
- Strong analytical and investigative skills with excellent attention to detail.
- Ability to identify trends, patterns and emerging risks across large datasets.
- Ability to manage high volumes of work while maintaining accuracy.
- Strong problem-solving skills and the ability to work independently.
- Excellent written and verbal English communication skills.
- Experience working within a Malta-regulated financial institution.
Desirable
- Knowledge of correspondent banking and cross-border payment services.
- Familiarity with payment systems and multiple financial products.
- Professional AML or Compliance qualifications (ICA, ACAMS or equivalent).
What We’re Looking For
- Highly analytical with excellent attention to detail.
- Able to balance detailed investigations with a broader risk perspective.
- Comfortable working in a fast-paced, evolving regulatory environment.
- Proactive, accountable, and solutions oriented.
- Strong stakeholder management and communication skills.
- Able to act as a trusted second-in-command to the Compliance Officer
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