Change Recruitment Group are working closely with a UK consultancy who have ambitious plans to grow their Risk Regulation and Conduct Risk team for advisory work with Wealth & Asset Management firms in London. There is an abundance of fundamental regulation change which requires advisory so it is a very exciting time to add value to our client as well as it's clients.
The team is looking for ambitious and dedicated candidates at Manager (and also Senior Manager) level who have gained experience in the FCA's conduct of business agenda and implementing new regulations for investment firms.
They typically apply this knowledge in the context of regulatory reviews, advisory projects, gap analysis and implementation planning, preparing clients for FCA visits and delivering skilled person reviews
· Leading projects and running work streams on medium and larger engagements - working as part of a project team on client sites and day-to-day liaison with clients · Taking responsibility for the conduct of reviews and preparation of reports; making oral presentations of findings/recommendations to client management team(s) · Identifying the impact of prudential regulatory change and supporting clients as they adapt to the challenges the new regulatory landscape presents. · Supporting technical analysis and developing an area of specialism where you will become the 'subject matter expert'. · Identifying and documenting key systems and controls for demonstrating compliance with applicable FCA regulations · Developing opportunities and winning new business, through marketing and sales activities and continuous client relationship programmes with senior client staff · Networking with clients, prospective clients and internally · People development, mentoring and coaching, including management of client facing teams · Technical research, responding to consultation papers from relevant regulatory bodies, providing input to the debate on development and application of policy, participating in the client's Thought Leadership · Taking responsibility for developing a broader capability with additional talent, as the business allows.
· Knowledge and experience of the asset management sector, including a strong understanding of the FCA's supervisory approach for asset and wealth management firms and an understanding of forthcoming regulations. · Technically proficient in the conduct aspects of the FCA regime including recent thematic reviews, the FCA market study and the introduction of the Senior Managers Regime for asset and wealth managers as well as elements of the broader FCA regime and requirements. · Experience in providing regulatory consulting advice to both established companies and new entrants · The ability to make new contacts, listen to their needs and interpret this to identify new opportunities to assist them · Drive and determination to win new work, build our reputation and expand our service offerings to our clients · General understanding of compliance and governance structures, operations, and industry best practice in compliance · Excellent communication (both written and oral) and organisational skills. · Strong numeracy and report writing skills
Demonstrable experience with the FCA and/or with another regulatory consulting practice would be ideal.
For more information or to apply please contact Craig at firstname.lastname@example.org
Internal Number: 5834943
About Change Recruitment Group
eFinancialCareers is a career site specializing in financial services.