Job Description
ROLE TITLE: COMPLIANCE ADVISORY SENIOR RISK ANALYST - Prudential Advisory & Capital Markets
LOCATION: Molesworth Street, Dublin 2 with Hybrid Working (Currently Remote)
This role is being offered on a PERMANENT basis.
SUMMARY OF THE ROLE:
Compliance & Assurance is an independent, second line of defence function within the wider Risk function.
We are looking for a dynamic Regulatory Compliance Senior Analyst to join the Prudential Advisory and Capital Markets Team, with particular experience in assessing and monitoring prudential regulation.
The role is required to provide support to business units and internal stakeholders on prudential regulation matters, including providing advice, critically assessing regulatory solutions and contributing towards project delivery. The role is key to our second line Compliance function with responsibility for the interactions with Finance, Capital Markets, key Risk teams (including Credit Risk, Financial Risk, Operational and Enterprise Risk) and key business stakeholders. The Prudential Advisory and Capital Markets Team is responsible for providing advice, guidance and oversight in respect of prudential regulations from a compliance perspective.
This is an exciting and challenging position with the opportunity to work within a new team, whilst working closely with senior and specialist colleagues across the organisation.
WE'RE LOOKING FOR SOMEONE WHO CAN:
*Constructively engage with key business areas to provide technical support and challenge on prudential regulation and ensure that business units are aware regulatory developments which impact the business. *Proactively identify prudential regulatory challenges and contribute towards reporting and remediation plans *Identify prudential regulation risks and communicate these clearly and concisely to impacted units *Represent Compliance at the relevant fora, provide challenge and contribute towards the effective governance of regulatory issues *Manage business unit and Risk stakeholders to develop professional connections across the bank and a network of key stakeholders. *Communicate complex regulatory themes through advice to business units, policy development and internal governance *Critically evaluate solutions to regulatory challenges and provide robust, clear and professional advice *Support the delivery of business projects and represent Compliance Advisory as a prudential regulation subject matter expert. *Interpret and analyse regulatory developments and key current issues facing the business and proven ability to articulate these in discussions / presentations with senior stakeholders *Proactively engage with business units to resolve complex, prudential regulatory matters *Manage a variety of issues, respond to fast-paced deadlines and take responsibility for the ownership and completion of tasks to a high standard. *Provide training to 1st line business areas on regulatory requirements where applicable. *Support and embed a strong risk culture at all times throughout the organisation. *Deliver training to business on Regulatory Compliance and Conduct Risk requirements. *Review & challenge AIB Group policies and supporting regulatory gap analysis *Maintain a comprehensive knowledge of AIB processes and organisational structure. *Support and embed a strong risk culture at all times throughout the organisation. *Support the monthly Regulatory Compliance and Conduct Risk Appetite Statement (RAS) process and manage key stakeholder interactions and engagements.
WHO ARE WE?
We're AIB. A strong Irish bank packed with purpose - to back our customers to achieve their dreams and ambitions. That goes for our employees too. We're made of small teams where you have the chance to shine.
WHY JOIN US?
We are excited about how we have changed our focus. We want to be at the heart of our customers' financial lives by giving them an exceptional experience. We are building a culture that breaks the conventions of what our customer and employees expect of a bank.
DOES THIS SOUND LIKE SOMETHING THAT YOU WANT TO BE PART OF?
YOU WILL NEED TO SHOW US THAT YOU HAVE:
*A minimum of four years compliance or regulatory experience within a Financial Services environment (Payments, Banking, Insurance, Capital Markets), as part of a Financial Services/Banking Institution, or in an advisory, transformation, change, law or business consulting capacity. Relevant Professional qualification would be advantageous. *Strong technical knowledge in regulation, regulatory strategy and Financial Regulator rules and guidance procedures, existing and new, such as Prudential Regulation, the EU regulatory framework including CRR and CRD and EBA Guidelines, Consumer Protection, regulatory reporting (COREP, FINREP etc.), MiFID, MAR, EMIR, Anti-Money Laundering, Conduct Risk, and Risk Framework methodologies. *A detailed understanding of aspects of current and upcoming regulation with an ability to complete regulatory impact assessments on new and amending upstream regulation and develop regulatory gap analysis. *Highly motivated, with a proven ability to work on own initiative within a challenging and dynamic work environment, with excellent communication skills (both spoken and written), interpersonal skills and people skills. *Have a proven experience in managing relationships with business stakeholders and/or regulators.
TO APPLY FOR THE ROLE, click apply and fill in the online application form. If you would like more information Noelle Ryan from the Talent Acquisition Team can help. You can contact her by email **MEMBERS ONLY**SIGN UP NOW***.