Manager/ Senior Manager, Risk & Compliance Advisory

A Big Four firm is searching for a Risk and Compliance Advisory specialist to join its Investment Management team.

You will hold a manager/senior manager title and will help investment management firms, hedge funds and private equity firms to transform, integrate and improve their regulatory and risk management practices.

Responsibilities include:
• Understanding the impact of risk and regulatory developments on clients
• Developing solutions and value adding propositions and taking these to market
• Providing implementation and technical services where remediation is required
• Devise testing programmes, execute testing, draft and agree findings and draft internal audit reports

This role will provide an in-house compliance professional with the opportunity to gain an insight into the unique regulatory pressures faced by a variety of institutions, and experience in helping to mitigate these risks. The role will act to up-skill you and broaden your existing regulatory understanding, resulting in an interesting and varied work load.

Desired skills and experience:
- Ideally private equity/hedge fund experience
- A minimum of 3 years regulatory compliance experience
- Conduct regulation
- Risk management solutions
- Regulatory strategy

For more information, please contact Katy Quicke at Hays on 020 3465 0110

April 23, 2015 • Tags:  • Posted in: Financial

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