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Strong Tier-1 brand and metro location increase applicant density despite senior, niche regulatory specialization.
Role requires deep capital markets regulatory expertise, limiting cross-industry transferability.
Explicit 12–20 years and mandatory regulatory reporting expertise create strict screening filters.
Lead and support multiple regulatory reporting projects focused on non-financial regulatory reporting and automation of reporting processes.
Manage stakeholder engagement and cross-functional collaboration including Operations, Compliance, Legal, Technology, and Finance to ensure process and technology changes align with regulatory requirements.
Govern program/project execution including risk identification, decision-making facilitation, and ensuring delivery meets quality, timing, and budget to minimize regulatory and reputational risk.
12 to 20 years financial services experience with focus on global markets trading and investment banking operations.
Experience with non-financial regulatory reporting regulations such as EMIR, SFTR, MiFID II/MiFIR.
Proven track record in managing regulatory reporting projects including change implementation and operational process improvements.
Strong knowledge of capital markets products and securities processing including derivatives; proficiency with Microsoft Office including Visio and Project.
Experienced in complex, fast-paced financial regulatory environments involving multiple stakeholders across business, compliance, legal, and technology functions.
Demonstrated ability to manage large scale regulatory change programs end-to-end, ensuring compliance and mitigating regulatory risks.
Skilled at consultancy and stakeholder management with strong program governance and risk escalation capabilities.