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Regulatory Policy Lead
3 months ago
We are collaborating with a prominent International Banking institution seeking a Prudential Regulatory Policy Manager at the Associate Director level. This role is pivotal in analyzing and documenting both current and prospective policies related to prudential regulation, with a primary emphasis on capital adequacy, large exposures, concentration risk, and leverage.
The selected candidate will play a crucial role in evaluating regulatory requirements in these domains, engaging with regulatory reporting teams, various business units, as well as Finance and Risk departments to oversee the internal processes of regulatory modifications. The focus will be on thorough analysis, interpretation, and documentation of relevant policies.
Key Responsibilities:
- Developing and continuously updating documentation for policies and interpretations concerning both existing and emerging regulatory mandates.
- Conducting analysis and disseminating information regarding new regulatory publications from Basel, as well as UK and EU regulatory bodies, including updates to Basel 3.1/CRR3 and associated stipulations.
- Coordinating impact assessments for new regulatory updates applicable to UK and EU entities.
- Facilitating communication regarding regulatory advancements with internal stakeholders and management.
- Collaborating with reporting, risk, and project teams to ensure that regulatory change initiatives are executed in compliance with established requirements.
- Engaging with broader stakeholders across business sectors, Risk, Controllers, and Legal to formulate suitable requirements and solutions for managing regulatory capital resources.
- Interacting with industry organizations such as AFME, ISDA, and UKF.
- Contributing to various Finance initiatives and projects as needed.
Skills/Experience Required:
- A robust background and comprehensive technical knowledge of UK/EU Prudential Regulatory matters, including Basel 3.1 and CRR/CRD.
- In-depth understanding of UK and European regulations, including CRR, IFPR, and IFR.
- Experience in regulatory policy or reporting within an investment banking context or relevant experience from consultancy or regulatory bodies.
- Knowledge of wholesale/investment banking products, including derivatives and SFTs.
Inventum is dedicated to promoting equity, diversity, and inclusion. We actively seek individuals from a broad talent pool and encourage diverse and underrepresented candidates to consider opportunities with us. Inventum is committed to ensuring that our recruitment processes are equitable for all applicants, regardless of their background or personal characteristics.