The Core Compliance Team is at the forefront of delivering robust compliance risk management in adherence with regulator expectations. We are looking for a team member who can help drive our Enterprise Compliance Risk Management program forward, by collaborating with first and second line teams, including engineering, Operational Risk, business and compliance globally. The successful candidate should demonstrate an understanding of regulatory change management practices, including strategic technology solutions, awareness of financial services businesses and products and regulatory authorities. Individual should be highly organized and comfortable interacting with senior audiences.
We are looking for someone with experience managing regulatory change in the US and has experience in operational or compliance risk management. The role requires collaboration, organization and innovation. Examples of duties include:
- Support the design and implementation of strategic and sustainable regulatory change management process
- Incumbent must be comfortable influencing all levels of staff to drive change.
- Align and continuously evolve strategy for managing regulatory changes
- Engage key stakeholders to make strategic decisions, prioritize implementation plans and manage volumes.
- Oversee consistency across pillars and divisions; identifying and addressing opportunities
- Design and implement strategic sourcing solution for regulatory change, including vendor management, platform integration, data governance and user strategies
- Support regulatory change governance routines across Compliance and the Firm
- Manage vendor content, including identifying requirements for GS profiles and engage strategically for efficient and optimized vendor information
- Identify automation and other strategic opportunities for a streamlined regulatory change process
- Partner with and direct vendors to deliver against GS expectations.
- Manage requests and exams from outside regulators and internal audit.
- Represent Compliance in first line and second line led remediation efforts.
Basic Qualifications:
- 5+ years of experience in Financial Services, with risk, legal, compliance and/or project management experience
- Bachelor’s Degree
- Professional experience in handling various regulatory change objectives
- Advanced PowerPoint and Excel skills, with an ability to learn new tools quickly
- Strong understanding of Compliance program mandates and Operational Risk Frameworks Exceptional analytical, problem solving, critical thinking and project management skills with a proven track record of execution against deadlines
- Leverage strong communication and relationship-building skills in frequent interaction with other areas of the firm, in particular, senior stakeholders
- Demonstrate resiliency and creativity when under pressure and when managing time-sensitive demands from competing stakeholders
- Experience in delivering high quality work products, reflecting attention to detail
- Work independently and exercise strong judgment when executing an assigned task
- Multi-task and have the ability to manage and advance multiple projects simultaneously.
- Identify and effectively escalate potential issues to appropriate person(s)