Senior Advisor – Policy and Governance / Senior Advisoress – Policy and Governance

Phenix Strategy Advisors SA - January 28, 2026

Role Summary

We are a specialist advisory firm operating at the intersection of financial services, commodity markets, and geopolitics, supporting boards, senior executives, and public authorities in navigating complex policy, reputation, regulatory, and governance challenges.

As Senior Advisor / Head of Compliance, you will provide strategic leadership on policy (EU, Swiss, and US), trade and geopolitical matters, governance, sanctions, and market conduct risk across highly regulated and politically sensitive environments. You will advise multinational corporations, investment banks, asset managers, governments, and ultra-high-net-worth structures on policy analysis, operational and regulatory strategy, new business initiatives, and crisis situations.

You will operate across Europe, the UK, the Middle East, APAC, and the US, engaging directly with regulators, law enforcement agencies, and international institutions, while leading the design, implementation, and optimization of global or regional governance and risk frameworks. The role combines hands-on technical expertise, executive advisory, and external representation at the highest level.

Key Responsibilities

  • Strategic compliance & governance leadership:
    • Provide advice on the design, implementation, and oversight of enterprise-wide governance and risk frameworks covering trade flows, risk compliance, and governance.
    • Advise boards and executive committees on political strategy, regulatory risk, enforcement exposure, and strategic decision-making.
    • Act as a trusted senior advisor in high-risk jurisdictions and complex political environments.
  • Political affairs & external engagement:
    • Deep experience with political and regulatory analysis at the European Commission level and country level within the EU, the UK, and Switzerland.
    • Facilitate representation of clients, performing technical analysis across a broad spectrum of topics, including economic stability, energy security, and financial market stability.
    • Deliver briefings to law enforcement agencies and government trade bodies on current geopolitical events and their impact on trade.
  • Financial crime, sanctions & market conduct:
    • Lead advisory and remediation work relating to economic sanctions, AML, anti-bribery & corruption, market abuse, and trade finance risks.
    • Provide expert insight on sanctions regimes, including designation events, escalation management, and regulator engagement.
    • Design and deploy market conduct and derivatives compliance frameworks across physical and financial commodity markets.
  • Advisory, remediation & special projects:
    • Lead post-enforcement remediation programmes, regulatory gap analyses, and governance reviews.
    • Advise on M&A transactions, trade and structured finance, FX and digital currency, and new business initiatives.
    • Support vendor selection and the deployment of technology architectures.
  • Leadership, culture & capability building:
    • Build, lead, and mentor global compliance teams across EMEA and APAC.
    • Design compliance training programmes for various levels, including front office and senior management.
    • Drive cost-effective compliance solutions by harmonizing processes while maintaining regulatory robustness.
  • Thought leadership & expert representation:
    • Act as an Expert Witness in commercial and regulatory disputes related to compliance and financial crime.
    • Represent the organization at industry conferences and regulatory forums.
    • Contribute to public policy debates through publications and government briefings.

Core Competencies

  • Executive compliance leadership – board-level advisory and regulatory strategy.
  • Financial crime & sanctions expertise – mastery of AML, ABC, economic sanctions, and trade finance.
  • Commodity markets & derivatives – understanding of trade flows and market dynamics.
  • Regulatory affairs & enforcement – direct experience with lobbying and remediation programmes.
  • Crisis & high-risk advisory – effectiveness in politically sensitive environments.
  • Systems & process optimisation – deployment of technology infrastructure and cost-controlled frameworks.
  • Influence & communication – trusted advisor to regulators and senior executives.

Required Qualifications

  • 20+ years in senior compliance, regulatory risk, and governance roles within financial services and commodity markets.
  • Extensive background in investment banking, commodity trading, asset management, and international advisory.
  • Proven track record as Chief Compliance Officer, Global Head of Compliance, or Senior Advisor.
  • Deep knowledge of global regulatory frameworks and enforcement bodies (US, EU, UK, APAC).
  • Experienced public speaker, lecturer, and author on compliance-related topics.
  • Full professional proficiency in English; additional European languages are an advantage.
  • Comfortable operating independently at a senior level with significant autonomy and discretion.

Why Join Us?

This role offers the opportunity to operate at the forefront of global compliance, geopolitics, and financial crime risk, advising the most sophisticated market participants and public authorities worldwide. You will work on high-stakes matters where judgment, credibility, and experience are paramount, shaping regulatory outcomes and protecting institutions in volatile environments.

With an emphasis on intellectual independence, strategic impact, and global exposure, this position is ideally suited for a senior professional seeking to leverage deep expertise across advisory, leadership, and thought-leadership dimensions.

Apply

Apply online using the form below. Only applications matching the job profile will be considered.

Location : Geneva
Country : Switzerland

Application Form

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