Regulatory Reporting SME

G MASS

Greater London

On-site

GBP 70,000 - 110,000

Full time

14 days+
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Benefits offered by this job

Competitive compensation
Bonus potential

Job summary

G MASS Consulting in London is seeking a Compliance Associate to build and own an audit-ready regulatory reporting control environment across UK/EU, Singapore, and US obligations. Reporting to the Global Head of Regulatory Reporting, the role is hands-on, turning live initiatives into documented, repeatable assurance.

You will design control frameworks, run testing cycles, and present results to the Global Head and CCO, owning the end-to-end process from data to MI.

Qualifications

  • Experience in regulatory reporting, compliance monitoring, or controls at asset managers or hedge funds.

Responsibilities

  • Own the compliance-testing cycle from start to finish and produce quarterly MI.
  • Design and maintain control frameworks for MiFID / MiFIR and MAS reporting.
  • Scrutinise data for accuracy, completeness, timeliness, and challenge outputs.
  • Lead insourcing of US regulatory reporting with governance and sign-off.
  • Establish UK short-selling and major shareholding disclosures processes with daily reconciliation.
  • Assess and strengthen personal-account dealing controls.
  • Create a firmwide library of regulatory reporting procedures with version control.
  • Collaborate with tech, ops and compliance across jurisdictions to embed controls.
  • Document findings and elevate material risks promptly.

Skills

Regulatory reporting
Compliance monitoring
Controls design
SQL
Data validation
MiFID II / MiFIR
FundApps familiarity
EU SSR familiarity

Tools

FundApps
EU SSR tooling

Job description

G MASS Consulting are partnered with a leading global multi-strategy Hedge Fund, as they seek a Compliance Associate to build and own an audit-ready regulatory reporting control environment across its UK / EU, Singapore, and US obligations.

Reporting to the Global Head of Regulatory Reporting, this is a deliberately hands-on role. The firm has a set of live reporting, testing, and resilience initiatives in flight, and the mandate here is to turn them into a documented, evidenced, and repeatable programme - moving the function from activity to genuine assurance.

It is a strong fit for someone who wants ownership and breadth rather than a narrow reporting seat. The remit spans three regulatory regimes, and the successful candidate will design the control frameworks, run the testing cycle, and present the results directly to the Global Head of Regulatory Reporting and the Chief Compliance Officer.

Responsibilities
  • Own the compliance-testing cycle from start to finish, consolidating results into clear quarterly MI for the Global Head of Regulatory Reporting and the CCO.
  • Design and maintain control frameworks covering MiFID / MiFIR transaction reporting and MAS OTC derivatives reporting, defining control matrices, ownership, frequency, and evidence standards.
  • Scrutinise reporting data for accuracy, completeness, and timeliness, challenging vendor and system outputs wherever the figures don't hold up.
  • Lead the insourcing of US regulatory reporting from an external provider, managing governance, parallel-run validation, and formal sign-off.
  • Establish an independent process for UK short-selling and major shareholding disclosures, reconciling daily against FundApps and providing a workable failover.
  • Assess and strengthen the personal-account dealing control and the processes that support it.
  • Build and maintain a firmwide library of regulatory reporting desk procedures, with proper version control.
  • Work closely with technology, operations, and compliance colleagues across jurisdictions to embed controls into everyday process rather than leaving them as documentation.
  • Document findings clearly and elevate material risks in a timely, proportionate way.
  • Practical experience in regulatory reporting, compliance monitoring, or controls, gained at an asset manager, hedge fund, broker-dealer, or similarly regulated institution.
  • Solid grounding in MiFID II / MiFIR reporting requirements; prior exposure to MAS OTC derivatives reporting would be a plus.
  • A track record of designing and owning control frameworks from the ground up, not simply administering someone else's.
  • Confident analytical and SQL skills, comfortable pushing back on vendor or system data and following through until the root cause is found.
  • Familiarity with FundApps and/or EU SSR is an advantage.
  • Strong, precise written communication and disciplined delivery, given the documentation and MI here need to withstand audit scrutiny.
Package

Competitive and commensurate with experience.

Scope

A genuinely multi-jurisdictional remit spanning UK / EU, Singapore, and US reporting obligations, with direct visibility to the Global Head of Regulatory Reporting and the Chief Compliance Officer.

Ownership

A build mandate rather than a maintenance one - the frameworks, procedure library, and testing programme established in this role will become the firm’s standard.

Strong chance of being made permanent after the initial contract

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