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Tier-1 bank brand and metro location increase candidate competition.
Requires deep capital-markets regulatory reporting and implementation experience, limiting cross-industry transferability.
Explicit 6–10 years and mandatory regulatory reporting expertise and cross-functional implementation experience.
Manage and support execution of non-financial regulatory reporting projects including implementation of new regulations and automation of reporting processes.
Collaborate with cross-functional teams (Operations, Compliance, Legal, Technology, etc.) to execute process and technology changes ensuring regulatory compliance.
Establish governance frameworks for regulatory reporting projects to ensure delivery on time, within budget, and to required quality standards minimizing regulatory risk.
6 to 10 years financial services experience with focus on global markets trading and investment banking operations.
Knowledge of capital markets products including cash securities, exchange-traded derivatives, and OTC derivatives.
Experience with non-financial regulatory reporting regulations such as EMIR, SFTR, MiFID II/MiFIR.
Proven experience in project implementation, operational process change, and cross-functional stakeholder management.
Experienced in managing complex change initiatives in fast-paced financial regulatory environments.
Strong program management skills with the ability to identify and mitigate risks and navigate governance structures.
Comfortable working across multiple teams including legal, compliance, technology with strong consulting and communication skills.