Head of Compliance & AML
Thndr - Cairo Office | Hybrid | Remote
Posted Jun 10, 2026
Benefits
- Parental leave
- Not verified
- Non-birth-parent leave
- Not verified
- Family-building benefits
-
- Fertility benefits: Not verified
- Adoption assistance: Not verified
- Surrogacy assistance: Not verified
- Mental health support
- Not verified
- Relocation assistance
- Not verified
- Childcare support
- Not verified
- Learning budget
- Not verified
- Verification
- Not verified
- Salary
- Not verified
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Market context
- U.S. role benchmark (BLS OEWS)
- $61,842 U.S. median for this role
- Projected growth (BLS Employment Projections)
- +1.9% - Slower
Matched to SOC 11-1021 - Operations aggregate by role bucket.
Source: U.S. Bureau of Labor Statistics, OEWS, May 2024 and Employment Projections, 2024-2034.
Role
Schedule
- Shift type
- Not verified
- Weekend work
- Not verified
Application
- Cover letter
- Not verified
- Assessment
- Not verified
- Deadline
- Not stated
Where they hire
State eligibility is not yet verified.
About this role
Head of Compliance & AML Cairo Office | Hybrid | Remote ABOUT THE ROLE As Head of Compliance & AML at Thndr Securities Brokerage, you will lead the firm's compliance AML and risk management function, ensuring the highest standards of integrity and regulatory adherence under the supervision of the Financial Regulatory Authority (FRA). You will oversee a team of compliance and risk officers, serve as the primary point of contact with regulators, and ensure that Thndr's brokerage operations run safely, ethically, and in full compliance with local and group standards. This role reports directly to the Chief Executive Officer and works closely with the Policy, Legal and Compliance, Risk & Fraud (CRF) teams across Thndr Group to ensure seamless alignment and oversight across all regulatory fronts. WHAT YOU'LL DO - Lead and develop a high-performing team of compliance and risk professionals (minimum four direct reports) responsible for daily compliance operations and monitoring. - Act as the primary liaison with the Financial Regulatory Authority (FRA), maintaining strong and transparent relationships with regulators. - Ensure regulatory compliance across all brokerage activities, including onboarding, trading, client communications, reporting, and recordkeeping. - Oversee regulatory reporting and ensure timely, accurate submissions of all required filings, renewals, and notifications. - Prepare and brief internal teams ahead of any regulatory inspections or reviews, ensuring full readiness and documentation accuracy. - Monitor and interpret regulatory changes and lead internal alignment to maintain compliance with evolving laws, FRA circulars, and industry standards. - Collaborate with Policy and CRF teams
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