





Tier-1 bank brand plus metro location and generalist operations/regulatory scope drive moderate competition.
Role focuses on financial regulatory reporting and operations, making skills less transferable across industries.
Explicit minimum experience plus supervisory regulatory operations requirements in a regulated financial environment increase strictness.
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Supervise a team in the Operations Risk and Regulatory Control, Disclosure of Interest (DOI) regulatory reporting area, ensuring timely and accurate monitoring and submission of shareholder disclosure and transparency obligations.
Manage direct reports including conducting 1:1 meetings, career development, talent attraction and retention aligned with leadership commitments.
Ensure compliance with applicable rules, foster relationships with global stakeholders, and drive team transformation including Agile methodologies.
At least 4 years of relevant experience in operations, risk, regulatory control, or related fields.
Proven management experience with direct reports and leadership accountability.
Strong compliance and regulatory knowledge relevant to shareholder disclosure and transparency obligations.
Work Experience Required: Minimum 4 years relevant experience explicitly mentioned.
Experience leading supervisory teams within financial services operations focused on regulatory reporting or risk and compliance areas.
Ability to adapt management style to individual team members and drive team engagement and development.
Skilled in stakeholder management across global and cross-functional teams, comfortable challenging status quo and driving operational transformation.