Morgan McKinley are delighted to be partnering with a leading global financial services organisation to hire a Senior Compliance Risk Officer to join a well-established and growing Dublin-based Compliance team.
This is a high-impact role with strong global exposure, working closely with stakeholders across multiple regions and business lines.
The Opportunity In this role, you'll act as a Senior Compliance Partner within Independent Compliance Risk Management (ICRM), supporting key product areas including deposits, money market funds, cash concentration, and liquidity management.
You'll play a critical role in shaping compliance strategy, advising the business on regulatory requirements, and ensuring robust frameworks are in place to manage risk and protect the organisation.
Key Responsibilities Design, develop and maintain best-in-class compliance programmes, policies, and frameworks Act as a subject matter expert on compliance, providing real-time regulatory guidance to the business Monitor and interpret regulatory developments, assessing impact across products and geographies Lead regulatory change initiatives and deliver solutions aligned to evolving requirements Manage responses to regulatory exams, audits, and investigations Conduct compliance reviews and drive improvements in controls and processes Partner with global teams including Legal, Risk, Operations, Technology, and Finance What We're Looking For Strong experience in compliance, legal, or risk within financial services or a regulatory/consulting environment Deep understanding of regulatory frameworks, compliance risks, and industry practices Experience supporting or overseeing products such as deposits, liquidity, or investment products (highly desirable) Proven ability to manage regulatory exams and engage with auditors and regulators Excellent communication skills, with the ability to present complex issues clearly to senior stakeholders Strong stakeholder management skills, with the ability to influence across a global organisation Qualifications Bachelor's degree (advanced degree or relevant certifications beneficial) Demonstrated experience in a compliance or control function within financial services Strong working knowledge of regulatory requirements (including local, US, and international frameworks) Skills: Compliance AML Risk Financial Services Funds Benefits: Work From Home