Career opportunities


If you are a lawyer with previous experience and a sound academic background looking for a new challenge in a top-tier law firm, we may have the right opportunity for you.

We are always looking out for talented lawyers who want to further advance their skills and knowledge to become part of a leading team and contribute to its continuous growth.

Other advisors

If you specialise in insurance, tax or financial services and you're looking for an opportunity to work within a fast-paced legal environment, you have landed on the right page.

We are always on the lookout for talented individuals who want to work alongside lawyers and further develop their specialism to contribute to the firm’s overall success.

We want to hear from candidates with a positive attitude, who are able to work under pressure and to tight deadlines, while demonstrating great teamwork, effective communication skills and a result-focused approach.

Current openings

  • Advisory

    AML-CFT Regulatory Advisor

    We are looking to recruit an experienced person to perform the role of an AML-CFT Regulatory Advisor.

    Day to day duties include:

    • advising local and international clients on all aspects of anti money laundering and counter terrorist (AML-CFT) related matters;
    • developing a tailored risk-based AML-CFT framework for our clients;
    • providing technical assistance on the implementation of the AML-CFT framework;
    • assisting in the drafting of AML-CFT policies, procedures and processes;
    • assisting in the management and the coordination of regulatory examinations;
    • liaising with regulatory authorities;
    • organising and providing training to internal staff as well as local and international clients;
    • working together with a dedicated team of lawyers and advisors.
    The chosen candidate will also be able to attend and participate in AML-CFT related conferences and seminars.

    The candidate should have:  
    • at least 2-3 years of experience, preferably within the AML-CFT field (or alternatively in financial services);
    • a good understanding of the laws governing AML-CFT in Malta, including the FIAU Implementing Procedures;
    • experience in risk advisory and/or audit and assurance sphere;
    • strong analytical and critical thinking skills;
    • strong willingness to learn;
    • a positive attitude towards clients and colleagues;
    • the ability to work well within a team; and
    • the ability to communicate confidently and effectively.
      All applications will be treated confidentially.


  • Advisory

    Regulatory Advisor

    We are looking for a mature, experienced person to perform the role of a regulatory advisor and form part of a team of lawyers and regulatory advisors dedicated to the insurance and pensions clients of Ganado Advocates.  A suitable candidate for this role is a compliance professional who is comfortable in a fast-paced growth environment and is well-versed in regulatory guidelines and best practices for authorised entities in the insurance and/or pensions sector.  The role involves assisting and advising clients to be compliant with the applicable legislation and acting as a link between the clients and the Malta Financial Services Authority.  The selected candidate will be expected to keep up to date with changes in regulatory legislation and guidance.


    Assisting clients in regulatory processes such as:

    • Obtaining or extending a Licence
    • Passporting by services or establishment
    • Portfolio transfers/ Mergers & Acquisitions/ Re- domiciliations
    • Supporting of or provision of Compliance Officer duties
    • Developing required governance/compliance-related documentation, including policies and procedures manuals
    • Performing of gap analyses and compliance assessments
    • Reviewing or drafting of compliance reports
    • Provision of compliance training

    Qualifications & experience:

    Candidates should preferably:
    • hold a legal or financial services qualification from a reputable professional or tertiary education institution; and
    • have at least 5 years' experience in providing advice and/or compliance support to insurance and/or pension clients; or.
    • have at least 5 years' experience in the financial services industry, preferably in a compliance-related role.