As a key member of the Compliance Services team, the Corporate Administrator will work alongside key stakeholders to deliver dependable services for complex fund structures, managing routine Beneficial Ownership obligations through monthly filings and due diligence, as well as overseeing Economic Substance and Annual Return filings from preparation to submission. The successful candidate will coordinate internal processes for client onboarding and offboarding, conduct periodic reviews of agreements, controls, and reporting, and stay informed of legislative and regulatory changes to ensure policies and procedures remain current.
Additionally, the Corporate Administrator will provide ongoing training to the team on fund-related compliance matters, fostering a culture of up-to-date knowledge and operational excellence. Requirements Associate’s degree in a business or legal field with strong written and verbal English skills. A certification in relevant area (i. e. , CGI, ICA) preferred. A minimum of three years of relevant financial services industry experience with a strong understanding of Cayman Islands law and Compliance regulations. Experience in all aspects of Cayman Islands Registry of Companies and CIMA obligations. Superior communication skills, written and verbal.
Highly organized and accurate, self-motivated and eager to take ownership of the transactions. Set priorities, are flexible and have the ability to thrive under pressure and cope with tight deadlines.
Customize your resume to highlight skills and experiences relevant to this specific position.
Learn about the company's mission, values, products, and recent news before your interview.
Ensure your LinkedIn profile is complete, professional, and matches your resume information.
Prepare thoughtful questions to ask about team dynamics, growth opportunities, and company culture.