This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
We are looking for an experienced compliance professional to develop and manage a corporate compliance programme fit for a public company of our size. Genius is listed on the NYSE: GENI. The Corporate Governance Manager is responsible for establishing compliance standards and developing and implementing robust frameworks to ensure the Company is establishing and maintaining compliance with applicable laws and regulations. This role will be a central contact in the Company and therefore provides autonomy and breadth of exposure to all areas of corporate compliance. The successful candidate will be detail-orientated, analytical, and considerate to confidentiality, and have a collaborative and productive work ethic.
Job Responsibility:
Develop the compliance and ethics programme to reflect the Company’s unique characteristics and ensure the Company is in line with its obligations of a US listed Company (SEC, FCPA etc)
Lead on compliance initiatives, including implementing frameworks for the effective operation of corporate compliance activities in the territories Genius operates
Keep abreast of all regulatory changes and provide guidance to stakeholders on potential impact to the Company. Provide practical solutions and advice to stakeholders as to how to best approach the changes
In conjunction with key stakeholders, maintain and monitor a programme of work for ESG (Environmental, Social & Governance) and manage regulator reporting
Define and manage the compliance policies, procedures and controls required to adhere to existing and emerging regulatory compliance requirements
Maintain policy register, ensure policies and compliance requirements are understood and respected by all employees and develop corporate compliance training where necessary
Provide practical and commercially astute legal advice/support on compliance risks
Identify potential areas of compliance vulnerability and ensure risks, complaints and incidents are identified, evaluated, investigated, and resolved in a timely and effective manner
Plan and execute all elements of the Company’s Annual General Meeting (AGM) alongside the Chief of Staff and Chief Legal Officer
Chair the Compliance Steering Committee, and be responsible for the outputs and actions
Prepare regular reports on compliance progress for submission to the Board and Committees
Contribute to the Company’s annual disclosure and reporting requirements
Coordinate compliance efforts related to audits, reviews, and external reporting
Maintain insider lists and update insider trading tool. Support blackout/trading window communications and pre-clearance tracking
Monitor and oversee Compliance group inbox and shared compliance channels and compliance communications and maintain documentation, records, trackers and memos
Requirements:
Generalist corporate compliance experience with specific US listing expertise e.g. securities, fillings and reporting
Knowledge of Guernsey and UK corporate compliance requirements is advantageous but not essential