Regulatory Compliance Manager (Wealth & Trading)

Revolut

Gijón

Presencial

EUR 70.000 - 110.000

Jornada completa

Hace 4 días
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Descripción de la vacante

Revolut is seeking a Regulatory Compliance Manager to guide MiFID II, UCITS and MAR compliance across its investment services. You’ll advise the business on regulatory topics and help establish and monitor controls.

In a fast-moving digital environment, you will develop and execute a world-class compliance framework, support operations, and interact with regulators to ensure full compliance and risk mitigation.

Formación

  • Clear, practical knowledge of MiFID II, UCITS, and MAR.
  • Experience in compliance risk management within consultancy, compliance function, or regulator.
  • Ability to work under pressure and manage multiple projects.
  • Knowledge of conducting regulatory gap analyses.
  • Strong policy creation and implementation capabilities.

Responsabilidades

  • Act as regulatory compliance expert across onboarding, product governance, and launches.
  • Monitor, test, and report on regulatory architecture effectiveness.
  • Draft, implement, and roll out compliance plans and policies.
  • Advise on product launches to ensure local regulation compliance.
  • Develop and execute a world-class compliance framework and training.
  • Liaise with regulators and support regulatory interactions.

Conocimientos

MiFID II/UCITS/MAR
Compliance risk
Regulatory gap analysis
Policy creation
Stakeholder comms
Multitasking
Analytical skills

Descripción del empleo

About RevolutPeople

People deserve more from their money. More visibility, more control, and more freedom. Since 2015, Revolut has been on a mission to deliver just that. Our powerhouse of products — including spending, saving, investing, exchanging, travelling, and more — help our 75+ million customers get more from their money every day. As we continue our lightning-fast growth, 2 things are essential to our success: our people and our culture. In recognition of our outstanding employee experience, we've been certified as a Great Place to Work™. So far, we have 13,000+ people working around the world, from our offices and remotely, to help us achieve our mission. And we're looking for more brilliant people. People who love building great products, redefining success, and turning the complexity of a chaotic world into the simplicity of a beautiful solution.

About the role

Our Compliance team blends regulatory expertise with data-driven thinking to make sure our products meet legal and policy requirements and deliver real value to customers. In a fast-moving, digital environment, they stay one step ahead by finding smart, scalable ways to manage conduct risk. We’re looking for a Regulatory Compliance Manager who can see what’s needed to keep our consumer protection practice in compliance. You‘ll be responsible for advising our business on compliance topics within the Investment Laws remit (MiFID II, UCITS, MAR) and support with establishing and monitoring related controls.

Up to shape what's next in finance? Let’s get in touch.

What you’ll be doing
  • Acting as regulatory compliance expert in terms of client onboarding, product governance and investment product&services launches
  • Monitoring, testing, and reporting on the effectiveness of our regulatory architecture
  • Drafting, implementing, and rolling out compliance plans, frameworks, and policies
  • Participating and advising on product launches, providing expert regulatory advice to support the Operations team to fully comply with local regulations
  • Developing and executing a world-class compliance framework and training programme
  • Supporting interactions with regulators
What you’ll need
  • Clear and practical knowledge of MiFID II, UCITS and MAR
  • Experience in compliance risk management within a consultancy, compliance function, or regulator
  • The ability to work well under pressure, manage multiple projects at once, and meet tight deadlines
  • Knowledge of how to conduct regulatory gap analysis
  • Familiarity with policy creation and implementation
  • A solid understanding of the interplay between compliance risk and business risk
  • The ability to communicate positively with regulators and members of various internal teams
  • Multitasking skills with close attention to detail
  • Excellent analytical, communication, and interpersonal skills
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