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Join us as a Compliance Analyst within our team in Dublin, where you will be responsible for working closely with the business teams, key stakeholders and other members of the Global, European and German Compliance Team to support and enhance the Compliance culture within the organisation by providing technical guidance, support, tailored feedback on regulatory issues. You will be a graduate with a career interest in financial regulation and compliance and conduct related risk management. The role will involve rotations across different areas within compliance to enable you to gain experience and insights across the European risk management and controls compliance platform.
Job Responsibility:
Identification and assessment of compliance risks through thorough reviews of business activities, changes, processes, testing and systems to
Identification and investigation of potential market abuse, including but not limited to, Insider Dealing, Unlawful Disclosure, Market Manipulation or Anti-Competitive Conduct
Conduct investigation of compliance risk events or breaches
Implementation of compliance policies and procedures in line with regulatory requirements and ensuring that the bank’s internal policies are aligned with international standards, including jurisdictional requirements
Collaboration with 1LOD, other relevant Compliance teams and legal, and relevant risk management functions to facilitate a comprehensive approach to compliance and risk management
Identification, investigation and oversight of potential money laundering, terrorist financing or other financial crime
Requirements:
Evaluating and managing compliance risks
Applying data analytics to support assurance activities and drive evidence-based conclusions
Building and maintaining effective stakeholder relationships
Fluent English and German language skills, other European languages would be beneficial
Nice to have:
Compliance risk insight and understanding, including Laws, Rules and Regulations, Financial Crime and Conduct
Experience of contributing to team-based initiatives and supporting the successful delivery of broader projects
Confidence to provide advisory services and guidance to colleagues and business stakeholders about regulation related to specific products and services
A curiosity to learn, and develop a deep understanding of compliance risk management across Banking and Global markets, Business Advisory, Assurance, Data Privacy, and Financial Crime