Experience in compliance advisory, ideally with a focus on transaction reporting regimes such as MiFID, EMIR, SFTR or REMITKnowledge of outsourcing, operational resilience or client money regulationAbility to provide compliance advice in meetings and respond to written queries from business teams or regulatorsStrong understanding of regulatory frameworks relevant to financial services operations in the UK and EUProven experience supporting regulatory change and providing ongoing advice on requirements such as DORA Effective communication skills, with the ability to interact with stakeholders at all levelsExperience working within a compliance or non-financial risk functionAt least five years’ compliance experience
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