We’re hiring a Senior Compliance Risk Officer to join a global financial institution’s growing compliance team. This role focuses on supporting key banking products (including deposits, money market funds, and liquidity solutions) and ensuring they operate in line with regulatory requirements.You’ll act as a strategic advisor to the business, helping design and implement compliance frameworks, manage regulatory risk, and support ongoing regulatory engagement.Key ResponsibilitiesProvide day-to-day compliance advice to business and product teamsDesign, implement, and maintain compliance frameworks, policies, and controlsMonitor and interpret regulatory developments and assess business impactSupport and manage regulatory exams, audits, and inquiriesConduct compliance reviews and risk assessmentsPartner with global teams (Legal, Risk, Operations, Technology, Finance)Lead or contribute to regulatory change projects and initiativesIdentify, escalate, and manage compliance risks and control issuesAct as a subject matter expert on relevant regulations and productsRequirementsSignificant experience in compliance, risk, or legal within financial servicesStrong knowledge of banking regulations (EU and/or US preferred)Experience supporting products such as deposits, liquidity, or investment fundsProven ability to manage regulatory interactions and auditsStrong analytical, communication, and stakeholder management skillsAbility to operate effectively in a global, matrix environmentSelf-starter with strong attention to detail and problem-solving abilityEducation & QualificationsAdvanced degree or professional certifications (desirable)
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