
Regulatory Policy And Assurance Analyst (41521) in England - London, United Kingdom
Job Vacancy at RBC Wealth Management
- Industry
- Banking / Financial Services
- Specialization
- Accounting
- Minimum Qualification
- Bachelor's Degree
- Required Experience
- 5 - 7 years
- Employment Type
- Full Time
- Gender
- Male or Female
Job Description
Assessment and communication of regulatory rules changes (EBA, BCBS, PRA and FCA) and impact on existing and new business initiatives' to business partners and key stake holders.
Responsibilities
Assist in interpretation and provision of policy guidance on all aspects of PRA / FCA and EBA rules on Capital and Liquidity and related standards (GENPRU, BIPRU, SYSC and equivalent EBA standards) on existing and new business initiatives
Monitor and communicate regulatory developments (Basel, EU and FSA) to identify risks and themes e.g. Basel III and CRD4
Participate in industry (BBA, AFME) discussions regarding regulatory change.
Liaise with international colleagues to ensure consistency of approach globally.
Report to senior management, business and support groups on regulatory impact of business initiatives and developments.
Maintenance and update of regulatory policies and assisting co-ordination of updating credit, market and liquidity policies maintained by the Risk function.
Provide oversight and direction to members of the regulatory reporting and regulatory change management teams
Periodic review and assurance of regulatory reporting returns produced by the Reporting team.
Provide technical IFRS accounting input into new businesses requests.
Provide guidance on accounting policy to Financial Control.
AUTHORITIES, IMPACT, RISK
Supporting all London businesses through effective management of regulatory framework changes and accurate FSA reporting.
This role is high impact, as global regulatory standards for banks are becoming increasingly more complex and fluid.
Requirements
WORKING CONDITIONS
Incumbent is based in a high volume, working environment
The role requires an individual who can work under pressure to meet tight deadlines - which may involve some longer hours and weekend work.
EDUCATION &/OR EXPERIENCE
Required
Solid Experience in Investment Banking firm experience and in-depth knowledge of FSA rules and regulatory requirements
Up to date knowledge of the various regulatory framework changes at the global, European and national UK level
Have undertaken or is currently in a similar role at a peer firm, either from industry or the accounting practice.
Accounting qualification (ACA/CIMA/ACCA)
Preferred
Attendance at Industry group forums BBA, AFME
ICAAP and ILAS experience
Familiarity of risk management policies and processes
COMPETENCIES
Behavioural
Good communication skills (written and verbal)
Ability to manage a team
Possess strong inter-personal, negotiating and influencing skills
Ability to work under pressure to meet tight deadlines
Attention to detail and good organisation skills
Effective senior management presentation and communication capabilities
Team player
Working on own initiative
Problem solving
Technical
Capital Markets product knowledge
Strong analytical skills together with report writing and excel spreadsheet capabilities