Enterprise/Regulatory Risk Manager

McGregor Boyall

Dublin

Hybrid

EUR 90,000 - 120,000

Full time

3 days ago
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Job summary

McGregor Boyall is seeking a Risk & Regulatory Advisory Manager in Dublin. The role focuses on regulatory change, risk governance and compliance for Financial Services clients, with a client-facing remit and hybrid working pattern.

The ideal candidate will have several years in Financial Services or advisory, experience across risk and regulatory frameworks, and the ability to manage complex stakeholder relationships with senior clients.

Qualifications

  • Experience in Financial Services, consulting or advisory environments.
  • Background in enterprise risk, regulatory risk, regulatory compliance, or risk advisory.
  • Strong knowledge of local/European financial services regulation.

Responsibilities

  • Advise Financial Services clients on regulatory, risk and compliance matters.
  • Support design, enhancement and implementation of risk and regulatory frameworks.
  • Deliver regulatory change, transformation and remediation projects.
  • Interpret regulatory requirements and translate them into practical solutions.
  • Engage with senior client stakeholders and manage multiple workstreams.

Skills

Financial Services
Regulatory Risk
Regulatory Compliance
Risk Advisory
Project Management
Stakeholder Management

Education

Third-level qualification

Job description

Location: Dublin
Level: Manager
Working Pattern: Hybrid

The Opportunity
Risk & Regulatory Advisory Manager

We are working with a leading professional services organisation that is looking to hire a Manager within its Risk & Regulatory Advisory team in Dublin.
The team works with Financial Services organisations across Ireland, helping clients navigate evolving regulatory requirements, strengthen their risk and compliance frameworks and deliver complex regulatory change and remediation programmes.
This is a client-facing role suited to someone with experience across Risk, Regulatory Risk, Regulatory Compliance or Risk Advisory within Financial Services or professional services.

Key Responsibilities
  • Advise Financial Services clients on regulatory, risk and compliance matters.
  • Support the design, enhancement and implementation of risk and regulatory frameworks.
  • Deliver regulatory change, transformation and remediation projects.
  • Interpret local and European regulatory requirements and translate them into practical solutions.
  • Support clients through regulatory reviews, inspections and broader regulatory engagements.
  • Assess and enhance governance, risk management, controls, policies and procedures.
  • Contribute to regulatory strategy and provide technical insight on emerging requirements.
  • Support business development activities, proposals and client relationship management.
  • Manage projects and workstreams, including planning, delivery and stakeholder engagement.
  • Mentor and develop junior team members.
Experience We're Looking For

The ideal candidate will have:

  • Several years' experience within Financial Services, consulting, advisory or a related professional services environment.
  • A background in Enterprise Risk, Regulatory Risk, Regulatory Compliance, Risk Advisory or Risk Consulting.
  • Strong knowledge of Local and/or European financial services regulation.
  • Experience delivering regulatory change, transformation, remediation or risk framework projects.
  • Understanding of areas such as risk governance, risk frameworks, risk appetite, conduct, consumer protection, AML, payments or insurance regulation.
  • Strong analytical, project management and stakeholder management skills.
  • Experience working directly with senior client stakeholders.
  • The ability to interpret complex regulatory requirements and communicate them clearly to clients.
Desirable Experience
  • Enterprise Risk Management
  • Risk Framework Design
  • Risk Appetite & Governance
  • Regulatory Change
  • Regulatory Transformation
  • Regulatory Remediation
  • Conduct & Consumer Protection
  • Payments / FinTech Regulation
  • Insurance Regulation
  • AML / Financial Crime
  • Regulatory Inspections
  • Risk & Controls / RCSA

A relevant third-level qualification is required, with professional qualifications in Risk, Compliance or Financial Services advantageous.

The Person

This role would suit someone currently operating at Manager or Senior Consultant level who wants to take on greater responsibility across client engagements and develop their career within a leading Risk & Regulatory Advisory practice. You should be comfortable operating in a client-facing environment, managing multiple priorities and working with senior stakeholders to solve complex risk and regulatory challenges.

McGregor Boyall is an equal opportunity employer and do not discriminate on any grounds.

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