Key responsibilities
- Providing Compliance advice on live Investment Banking transactions, including conflicts, licensing, reputational and regulatory considerations.
- Advising on information barriers, watch/restricted lists, confidential information and wall crossings.
- Supporting the business on MAR, insider lists, market soundings, MiFID and wider European and US regulatory requirements.
- Working closely with Front Office and Business Management to identify, assess and escalate Compliance issues.
- Supporting Front Office Supervision, Conduct Risk and regulatory change initiatives.
- Contributing to policies, procedures, training, monitoring and Compliance MI.
- Working with regional and global Compliance teams on business and regulatory change.
About you
- Strong experience within Investment Banking Compliance, Private Side Compliance, IB Advisory or Control Room Compliance.
- Hands-on experience providing transactional and business-facing Compliance advice.
- Strong understanding of information barriers, wall crossings, conflicts, restricted/watch lists and inside information.
- Good knowledge of MAR, MiFID and wider European/US regulations relevant to Investment Banking.
- Comfortable working directly with Front Office stakeholders and making pragmatic decisions under tight deadlines.
- Strong communication, influencing and stakeholder management skills.
- Experience within a major investment bank, exchange or regulator would be beneficial.
IR35 Status:
Not specified
Remote Status:
Not specified
Industry:
Legal & Compliance