Assess and advise on regulatory conduct matters, utilizing industry knowledge to propose practical solutions. Provide accurate and timely technical advice on conduct regulation, ensuring compliance with UK regulatory standards. Guide business stakeholders and project teams on conduct regulation, risk management, and company compliance policies. Represent the Compliance function in key business or regulatory projects, offering expert guidance and advice. Present complex regulatory matters to senior leaders and support the Head of Compliance Advice with key communications. Skills & Experience:
Proven experience in a 2nd line compliance or conduct risk role, ideally within the retail banking sector. Expertise in interpreting emerging conduct regulatory requirements and providing advice on them. Strong understanding of the UK financial services sector, including knowledge of the FCA's regulatory agenda, particularly Consumer Duty. Excellent communication and stakeholder engagement skills, with the ability to explain complex regulatory matters in a clear and accessible way. Proven organizational and problem-solving abilities, with experience in managing multiple priorities. Ability to work autonomously, manage complex issues, and document solutions thoroughly. Experience in line management, coaching, and people development.
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