You must have gained Compliance experience with an Asset Manager, Investment Bank or Dealer Broker, ideally including experience of regulatory reporting. This must have included good MiFID II knowledge, able to advise and guide technically minded colleagues around the regulatory requirements. Excellent opportunity to join a fast-growing business that has a strong position in their field.
The role can be taken as a 3 or 4 day a week part time basis (pro rata to above salary range) or full time, as suits the successful candidate and will be a hybrid role with 1-2 days required in the office by Bank. If you believe you have the breadth of technical knowledge and self-drive to take ownership of this role then please contact Gary Collins on 020 7562 7400 or send your details to firstname.lastname@example.org (including a contact number & email) however please note due to Covid we cannot reply to all applications so only successful applications will be contacted (although under no circumstance are your details ever passed on without your specific permission).
We are acting as an employment agency in relation to this role.
Through application, all candidates signify their acceptance of the above information and confirm that the information they provide is true and accurate to the best of their knowledge.