Business Risk and Controls - In Business Regulatory Risk Management - Senior Vice President
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Job Description
Structured overview of role & requirementsAbout This Role
Develop, design, and implement controls programs ensuring regulatory adherence and risk management within the Wealth business for UAE.
Lead regulatory change management activities including impact assessments, project planning, stakeholder communication, and reporting to senior management and governance committees.
Coordinate and manage regulatory examinations, audits, and reporting while collaborating with internal and external stakeholders to ensure compliance and continuous improvement of controls and risk frameworks.
Minimum Requirements
8-10 years of experience in regulatory change management, compliance, audit, or control functions in financial services industry.
Bachelor's/University degree or equivalent experience.
Strong understanding of financial services regulations such as AML, KYC, consumer protection, data privacy, and prudential regulations.
Work Experience Required: Minimum 8-10 years experience in relevant domains.
Ideal Candidate Profile
Experienced in managing regulatory inventory and internal control programs with strong analytical skills to interpret complex regulations and identify root causes of risk.
Skilled in project management and coordination of regulatory examinations with demonstrated clear communication with senior management and regulators.
Able to collaborate effectively with business, legal, operations, and compliance teams across lines of defense for integrated risk and control framework enhancement.
