
Global Regulatory Affairs Manager
3 days ago
This role requires an experienced compliance professional to oversee our regulatory affairs, ensuring adherence to all relevant requirements. The ideal candidate will have expertise in market abuse surveillance, anti-money laundering (AML), counter-terrorist financing (CTF), sanctions, KYC, onboarding, and engagement with regulators.
About the Role:- Lead and manage the Compliance Function to ensure full regulatory compliance.
- Oversee market abuse surveillance and AML/CTF/sanctions processes.
- Manage KYC and client onboarding activities.
- Assess and determine when to file Suspicious Transaction Reports.
- Oversee communication and engagement with relevant regulators.
- Ensure the organization meets all regulatory obligations in applicable jurisdictions.
- Provide accurate compliance advice to business units and respond to ad hoc queries.
- Contribute to projects, new products, and proposals, with consideration of reputational risks.
- Deliver training on regulatory risks and changes.
- Execute a risk-based compliance monitoring programme including risk assessments, business reviews, thematic reviews, and testing.
- Maintain surveillance, logging, escalation, and resolution of relevant issues.
- Execute core compliance processes such as market conduct, gifts and entertainment, regulatory liaison, reporting, licensing, employee trading, conflicts of interest, and breach logs.
- Draft and maintain compliance frameworks, policies, plans, and procedures.
- Keep abreast of market trends, regulatory changes, and technological developments.
- Produce management reports for internal committees and the Board.
- Mentor and develop junior compliance officers.
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