
Vice President or Director, Compliance Advisory - US Regulations CFTC and SBSD Swap Dealer
- London
- Permanent
- Full-time
- Carry out the day to day management of US related regulatory tasks
- Provide support and delegation to the Head of Advisory as necessary
- Assist in the development of the US Regulation Compliance framework across all relevant business lines operating in EMEA. This includes uplift of CFTC/NFA and SEC programmes and monitoring of adherence to programme by impacted departments.
- Provide proactive advice, guidance and challenge to the businesses in regulatory compliance matters with a particular focus on US regulatory related matters (including but not limited to identification of risk, escalation and management).
- Work closely with the Regulatory Change Team (who lead on providing advice and guidance on regulatory developments which are in the upstream/implementation phase) for example in drafting and updating policies, procedures and developing and delivering training.
- Provide training to the front office on regulatory and conduct matters with a particular focus on US regulation including for Swap Associated Persons .
- Represent Advisory Compliance at the Swap Dealer Oversight Committee
- Draft the annual CFTC/NFA and SEC Compliance reports and conduct lookback exercise.
- Compliance Lead on CFA//NFA audits
- Extensive compliance experience within a Advisory/ Legal function, specialising US regulatory compliance.
- Extensive experience in Market Side Compliance Advisory role in an investment banking organisation
- Strong understanding and knowledge of Market Compliance and other investment banking products, including but not limited to loans, bonds and structured finance, and particular strong experience in Sales and Trading.
- In depth knowledge of MAR and MiFID II, and US regulatory compliance
- Strong knowledge of risk, compliance and controls
- Strong understanding of key regulations applicable to markets products, including MiFID II, MAR and US reg
- Strong interpersonal and communication skills
- Sharp intellect with the ability to grasp complex concepts
- Ability to challenge independently and constructively, where appropriate in order to achieve engagement and drive resolution
- Ability to act autonomously when appropriate and know when to escalate matters
- Highly organised, goal oriented and solutions focused
- Strong educational background with a university degree preferably in Law and/or Financial Regulation
- US regulatory Compliance experience a 5t least years (or more) in investment banking
- Excellent communication skills
- A proactive, motivated approach.
- The ability to operate with urgency and prioritise work accordingly
- Strong decision making skills, the ability to demonstrate sound judgement
- A structured and logical approach to work
- Excellent interpersonal skills valueing team work
- The ability to manage large workloads and tight deadlines
- Excellent attention to detail and accuracy
- A calm approach, with the ability to perform well in a pressurised environment
- Sharp intellect with excellent researching skill necessary for the US regulatory related tasks
- Conscious of confidentiality involved in the nature of business and regulatory compliance related tasks
- Ability to work/ collaborate with variety of stakeholders of all related regions and Head Office