The PositionAt Forvis Mazars, we support clients in the financial services industry to achieve their strategies and adapt to regulatory change, technological disruption, and evolving market expectations.
We support and work with leading Fintechs, banking, insurance and asset management locally in Ireland and internationally.
Our team is growing and we wish to appoint a regulatory .
The future team member will have a background in some of the following areas:Working within an Enterprise Risk Management Function, Compliance Risk Management Function or Internal Audit Function; andRelevant FS regulatory experience of at least five years.As an experienced member of the risk consulting team, you will have the opportunity to lead or support the delivery of a range of high-profile assignments in the following areas;Regulatory change and support across technical areas such as compliance risk management, corporate governance, consumer protection and anti-money laundering;Regulatory investigations and due diligence, supporting our corporate finance team; andRegulatory assurance, compliance monitoring and internal audit.You will join an established, collaborative, forward-thinking team, that is willing to invest in your professional and personal development.
If you're looking to make an impact in a fast-moving, high-growth sector—this is a great opportunity to grow your career.Key Responsibilities Growing your knowledge of regulatory and compliance obligations of our clientsReporting into the senior leadership, working towards the achievement of departmental goals and targetsInvolvement as an ambassador in firm / department / practice development and marketing initiativesManaging and developing junior team membersSupport business development initiatives, through preparing assignment proposals, thought leadership articles and representing Forvis Mazars at conferences.
Ideal CandidateQualification in a relevant industry qualification (e.g. Compliance Institute, PRMIA, Institute of Internal Auditors, ACA, ACCA)Ideally, a minimum of five years' experience within risk and compliance consulting in a Financial Services environment.
Good understanding of some risk and compliance regulatory areas (e.g. PSD, Consumer Protection Code, Investor Protection, Fitness and Probity etc)Knowledge of challenges and developments within the banking industryExcellent oral and written communication skillsExperience of operational supervision of assignments/projects and managing of client relationshipsExcellent interpersonal skills and the ability to work in a team environmentStrong organisational and planning capabilitiesAbility to work on own initiative and to provide guidance to othersExperience of working to deadlines Excellent computer-literacy skillsAct.Please Note: Forvis