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Risk & Compliance Manager på Summa Equity

Are you triggered by a high-performance environment, bold strategic decisions, and precise execution? Summa Equity are looking for a Risk & Compliance Manager!

About Summa Equity 
Summa invests in companies that are solving global challenges and creating positive Environmental, Social, and Governance (ESG) outcomes for society. Summa’s purpose is to co-create win-win for investors, portfolio companies, and society through aligning its vision and outcomes to the Sustainable Development Goals, ensuring a net-positive impact against ESG challenges, and the potential for long-term, sustainable outperformance. 

Investments are focused on industries and companies that have tailwind from megatrends within three sustainability themes: Resource Efficiency, Changing Demographics, and Tech-Enabled Transformation. Across these themes, Summa’s portfolio companies are supporting a world in transition and showing that business can be part of the solution. Summa Equity has c. EUR 4 billion (c. SEK 40 billion) assets under management.  


Your responsibilities 
As Risk & Compliance Manager you will be responsible for risk and compliance related issues from a first line of defence point of view. Your main responsibilities and duties will include: 

  • Continuously monitoring and ensuring internal policies and procedures are maintained, followed, and documented.  
  • Supporting the business in the creation and development of the company’s internal regulations, procedures, and practices. 
  • Monitoring and analysing new legislation and regulation. 
  • Planning board meetings and report the compliance status to the board. 
  • Acting point of contact for the company’s external Compliance Officer, Risk Manager, and internal auditor. 
  • Train co-workers in the application of new regulation and help the business implement new regulation.  
  • Perform risk and compliance checks in the first line of defence.  
  • Implement changes in internal policies, procedures, and practices advised by the Compliance function, Risk function and the internal auditor.  
  • Assist the company’s Finance department and investment team in regulatory matters. 

Who are we looking for? 
We are looking for an excellent lawyer with a positive mindset, good working knowledge of compliance and legal matters and a genuine interest in finance and investments. To succeed in this role, you: 

  • Have a strong analytical mind and strategic, creative, and commercial skillset, 
  • Have attention to details when needed 
  • Are process driven and have a structured way of working 
  • Have a desire to build a business and willingness to contribute where needed to succeed 
  • Are a great team player and is comfortable to lean in to support wherever needed 

Experience and background 

  • Law degree from a Nordic or Common Law jurisdiction.  
  • 3-4 years of experience from a similar role, preferably from a regulated business or a company within the finance sector.  
  • Full professional proficiency of Swedish and English.  
  • A high level of integrity and ability to work independently as well as excellent social skills and team working capabilities.  
  • Previous experience from AIFM related matters and private equity is a strong merit. 

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About the process 
In this recruitment process, Summa Equity is working with Legal Career. For questions about the process or role, please contact recruiter Mathias Asp. Your application consists of your resume and contact details. We’re looking forward to receiving your application! 

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