Join us as a Compliance Lead
We’ll look to you to lead regulatory compliance and conduct insight, oversight and challenge
You’ll be providing expert support, advice, MI and escalation to leaders and the business on compliance and conduct risk management
This is an opportunity to gain exposure as you own stakeholder relationships to make sure there’s an early understanding and buy-in of conduct risk appetite activity
This role can be based anywhere on the Island of Ireland and is available for a period of 12 months
The salary range for this role is 66,960 - 83,700 - 100,440 in RoI and 42,400 - 53,000 - 63,600 in NI
As a Compliance Lead, you’ll be supporting executives in making sure that the business strategy for the relevant business units is consistent with and supports an effective regulatory framework. You’ll also be supporting executives on regulatory engagement with the CBI in relation to relevant matters.
You’ll provide advice, guidance and oversight on all compliance and conduct related regulatory issues, and hold a level of responsibility for the management reporting and communication of compliance risk management framework for businesses. And you’ll be reporting on key areas of exposure and identifying appropriate solutions.
On top of this, you’ll be:
Mitigating the risk of legal or regulatory sanctions, material financial loss and reputational harm
Providing critical analysis and independent challenge, on the function’s strategy, and approach to defining and measuring the conduct risk appetite
Interrogating and assessing function structures and providing strategic regulatory advice through a focus on customer outcomes and regulatory expectations
Providing technical advice on the interpretation of regulatory rules applicable to the function and their impact on the operating model
To succeed in this role, you’ll need strong financial services experience, preferably in banking and regulated firms in the conduct risk environment. In addition, you’ll need broad technical knowledge of products, services and regulations relevant to a large retail and wholesale bank.
You’ll also demonstrate:
Knowledge and experience of providing regulatory and technical support and advice to senior management
The ability to analyse, understand and draw sound conclusions from a wide range of sources and information including MI
A track record in effective senior stakeholder management, with relevant experience in a compliance or conduct risk related discipline
Experience in, and the ability to have, challenging conversations with stakeholders to reach agreed positions, with a proven strength in influencing and negotiation skills
The proven ability to think strategically and to simplify complex conduct matters to make sure they are effectively managed, understood and communicated
If you need any adjustments to support your application, such as information in alternative formats or special requirements to access our buildings, or if you’re eligible under the Disability Confident Scheme please contact us and we’ll do everything we can to help.
Job ID: 105044
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