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Strong Tier-1 brand but senior, niche regulatory role reduces applicant density.
Requires deep capital markets and regulatory reporting experience, limiting cross-industry transferability.
Explicit 12+ years and mandated regulatory capital markets expertise make hiring filters very stringent.
Support the planning and execution of change management activities for Non-Financial Regulatory Reporting projects including new regulations implementation and automation of reporting processes.
Manage multiple regulatory reporting projects ensuring alignment with strategic objectives, regulatory compliance, delivery quality, timelines, and budget adherence.
Establish program/project governance, facilitate working groups, identify and escalate risks to minimize regulatory penalties and reputational damage.
12 to 20 years of financial services experience focused on global markets trading and investment banking operations.
Knowledge of capital markets products including cash securities, exchange-traded derivatives, and OTC derivatives.
Experience with one or more non-financial regulatory reporting regulations such as EMIR, SFTR, MiFID II/MiFIR.
Experience managing cross-functional teams and executing change initiatives with documented business and technology requirements.
Experienced in leading complex regulatory change projects in financial services with strong stakeholder management and consulting skills.
Operates with a strong execution and delivery orientation, able to manage multiple priorities under tight deadlines.
Technically proficient with securities processing knowledge and comfortable engaging with both business and technology teams.