Manager - Regulatory Reporting (10 months contract - London/Remote)

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Manager - Banking Risk - Regulatory Reporting (10 months contract - London/Remote)

We are currently looking to recruit a Manager who can make a significant contribution to the Banking Risk Regulatory Reporting practice through deep sector expertise, client engagement, and delivery of new business opportunities.

We are looking for an experienced individual who is highly motivated, passionate about what they do, and can add further to the continued success of our market-leading regulatory reporting advisory team.

Key Responsibilities

  • Lead workstreams across our key regulatory reporting service lines including i) advisory and implementation support, ii) post-implementation reviews, iii) independent reviews and iv) providing best practice recommendations on meeting current and future regulations
  • Lead regulatory reporting business impact assessments, target operating model reviews; whilst providing firms with options for enhancements and strategic prioritization
  • Engagement management and assignment delivery. Formulate propositions and solutions that meet client requirements
  • Business development support across key market propositions (Brexit, Risk and Regulatory Change eg MiFID II, SFTR, EMIR, IBOR, CSDR)
  • Develop and convert a pipeline of opportunities either through sell-on and/or new work
  • Build and maintain strong client relationships within the sector, leveraging proven industry content and delivery capability

The Individual

  • Consulting background with experience in a Capital Markets team as part of a professional services firm (Big 4 ideal)
  • Experience in a major financial institution's Capital Markets internal consulting or change function is also desirable
  • Experience in managing the delivery of risk, regulatory, and other change programs across sell-side, buy-side, and financial market infrastructure firms eg Brexit, Risk, and Regulatory Change eg MiFID II, SFTR, EMIR, IBOR and CSDR
  • Demonstrable sector knowledge across both pre and post-trade, with a deep understanding of current trends in capital markets and some degree of specialization in at least one or more asset class/financial services regulation/function
  • Evidence of successful delivery track record across Investment and/or Wholesale banking clients. Key areas of interest include experience in initiation through to implementation of regulatory change projects covering business impact assessment, requirements analysis, and delivery, post-implementation reviews of key regulatory reporting regulations (eg MiFID II, SFTR)
  • In-depth understanding of the key industry, market, and regulatory drivers shaping the industry and an ability to articulate these by way of client opportunities. Key areas of interest include OTC derivatives, Fixed Income and Equities, Cash and Collateral Management, Clearing and Settlement, all aspects of Operations Risk, risk mitigation, and controls optimization
  • Experience in Project/Program Management, business analysis, and demonstrable client account management capabilities
  • Strong technical skills eg MSP, MS Access, MS Excel, SQL, SharePoint, Visio, MS PowerPoint, and MS Word
Start date
15th November
10 months
Published at
Project ID: