Job Descriptions:This position is located within risk management with a focus on key regulatory deliverables.This team oversees the following: Development of risk policies and procedures and governance framework globally.Tracking and reporting progress of regulatory deliverables as well as managing regulatory exams and internal audits.Lead remediation projects related to regulatory and audit findings.Engage with SME's across the risk department.The position will give the right candidate exposure to senior management.Responsibilities:Develop strong cross risk type (market, credit, etc.) relationships.Work with self-assessment committees (review / challenge panels).Assign SME's and project managers for remediation activities. Act as risk point of contact with other regulatory groups.Coordinate and attend regulatory exams and meetings.Facilitate communication with regulators regarding risk topics.Produce regulatory risk presentations for senior management.Interact with internal / external audit on regulatory subjectsExecute self-assessments for regulatory and audit remediation's.Analyze and interpret new regulations.Skills and ExperienceKnowledge of financial markets and bank lending activities.Understanding of regulatory rules from major regulators. OCC, FRB, SEC, FINRA etc.Experience with current regulatory rules. CCAR, SCCL, FRTB, Wrong-Way-Risk etc.Solid experience in risk management.Experience of facing off with regulators and senior management.Strong written and verbal communication skills.Ability to build strong relationships and share information.Ability to work on multiple projects and deliver on time.Previous experience of writing clear presentations for management.Related risk qualifications desirable for example FRM / CFA.