Job Overview.

Experience: 5-7 YearsSector: Regulatory Reporting

This is a super opportunity to join the Risk and Regulatory team of an Irish and Global leader in Advisory and Consulting. Your background could be Consulting or Industry as long as you have strong knowledge of Financial Services/Banking Risk and Regulatory framework in Ireland/Europe and can operate at a Manager/AD level.
 
Ideally your experience will include professional experience and strong technical skills in the area of core European/Irish regulatory requirements including:
 

  • Experience in analysis and submission of consolidated reports to regulators (CBI, ECB) including Prudential (COREP, FINREP), LCR, NSFR, ALMM, STE, Pillar III and AnaCredit returns
  • Understanding of regulatory rules and reporting requirements including Basel III, CRD/CRR, BRRD
  • Understanding of Capital impacts and Prudential RWA impacts of CRD IV, Counterparty Credit Risk, CVA, Credit Risk, Market Risk, Liquidity and Operational Risk
  • Experience and understanding of regulatory reporting control frameworks and risk policies
  • Experience in systems and processes normally used in the compilation and submission of European/Irish regulatory returns
  • Knowledge and experience of the local Financial Services regulatory reporting environment
  • Strong commercial acumen capable of identifying risk and compliance issues, taking ownership, and seeing tasks through to successful completion
  • Capable of identifying risk improvements and contributing positively to policy and control implementations for clients

 
In this role you will have an opportunity to develop teams, to consult with clients and develop your capability with a market leader in the Risk and Regulatory advisory space.
 

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