Corporate Governance & Regulatory Change

International management consultancy are looking for Conduct Risk - Senior Regulatory Consultant to maintain a broad commercial and business understanding in order to develop sustainable business relationships and deliver a range of Regulatory projects for their Banking and Financial Services clients.

The role:
The ability to stay abreast of regulatory developments driving the industry and key issues affecting regulated firms so as to anticipate and understand the impact of such developments on clients.
The ability to develop and maintain client relationships and to be recognised and respected by the client as a knowledgeable, valued professional.
The ability to lead by example, showing a commitment to quality and integrity and motivating and enthusing others.
The ability to define the strategy for managing multiple and/or complex projects, and successfully lead such projects.
Extensive experience of supervising the development of project plans to meet engagement/project objectives and budgets.
The tenacity to see issues through to resolution and overcome barriers in an appropriate manner.
The ability to demonstrate knowledge of firm's risk management policies and procedures ensuring work is performed in accordance with those policies, procedures and professional standards.

Relevant experience:
Experience of working in a Consulting or Accounting environment
Previous Consulting experience in the Financial Services sector, within capital markets, investment banking, retail commercial banking, asset management, or insurance.
An excellent grasp of the current issues faced by FSA-regulated firms and developments.
Significant experience managing large, complex projects and teams.
Extensive experience of supervising and developing team members.

Goodman Masson is acting as an Employment Agency in relation to this vacancy.

Goodman Masson is an equal opportunities employer.

November 19, 2012 • Posted in: General

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