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Key aspects of the role involve:- financial returns analysis on-site visits theme based and desk-top reviews risk assessments and risk mitigation programmes liaison with international regulators This opportunity also carries a strategic responsibility - contributing to the development of supervisory processes and regulatory policy - and participating in the development of junior staff. Candidates must possess regulatory expertise from either a Financial Services Regulator or a Regulated concern. Pre-requisite must be a solid research and analytical capacity together with highly effective communications skill-set. A broad financial services background is looked for with a focus on particular regulatory areas and/or business areas, eg, Markets Compliance. Essential would be a true appreciation of risk-based regulation - with confident understanding of prudential supervision and conduct of business rules. The ability to work without close supervision, as part of a team and, to manage shall be required.
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