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A leading investment bank in London is seeking a Regulatory Change Compliance Manager to oversee new regulatory initiatives across all business lines. This role entails significant stakeholder engagement and requires expertise in European and UK regulations. The ideal candidate will excel in analytical skills and relationship-building, contributing to a collaborative work environment with excellent career progression opportunities.
This is an excellent opportunity at a leading investment bank in London for a Regulatory Change Compliance Manager. The role involves working across all entities of the group and all three lines of business concerning new regulatory change initiatives.
Key responsibilities include reviewing and analyzing Regulatory Change, supporting the Head of the Global team in coordinating lessons learned reviews from Europe and APAC, handling ad hoc internal or external requests, and generating MI related to these matters.
Key stakeholders include the Head of Compliance Practices, Europe, Compliance Advisory and Surveillance teams, and Global Compliance teams across Europe, APAC, and North America.
Applicants should demonstrate the ability to distill key points from large volumes of information, tailor presentations for various audiences, and build strong relationships with stakeholders at different levels within the Bank, Wealth, and Asset Management sectors. Knowledge of European and UK regulatory regimes is essential.
The bank offers an excellent work-life balance, an inclusive culture, and multiple career progression opportunities.
Please apply to learn more about this exciting and unique opportunity.