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Our parent company, Quintet Private Bank, is a leading private bank in the wealth management sector; we are committed to our clients and their families, and pride ourselves on our personalised service based on a deep understanding of what clients want to achieve. Compared to others, we are small (<1,800 employees across 30 European and UK locations) with an ambition to stay true to our purpose to be the most trusted fiduciary of family wealth. The principal duty of the Regulatory Compliance Specialist (Director) is supporting the Brown Shipley, Head of Compliance, in ensuring that the team delivers high quality compliance advice to colleagues across the UK in the areas of: Conduct of Business, Investor Protection, Market Abuse, and Cross-Border regulations. The role holder hierarchically reports to Brown Shipley's Head of Compliance, and has a functional reporting line to Quintet's Head of Group Regulatory Compliance & Cross Border, thus working closely with other EU and UK RC advisors to ensure the successful delivery of the Compliance function' strategy. The successesful candidate will contribute to regulatory interactions, support the effective management of compliance risk, and provide clear, pragmatic guidance to the business. You'll also play a role in identifying, assessing and managing regulatory risk, ensuring it is appropriately governed and aligned to the firm's risk appetite. This is a hands on role for an experienced compliance professional who is comfortable operating across both advisory and regulatory engagement, and who can partner with the business to deliver the right outcomes for clients while maintaining strong regulatory standards.
Job Responsibility
Supporting the Brown Shipley, Head of Compliance, in ensuring that the team delivers high quality compliance advice to colleagues across the UK in the areas of: Conduct of Business, Investor Protection, Market Abuse, and Cross-Border regulations
Contributing to regulatory interactions
Supporting the effective management of compliance risk
Providing clear, pragmatic guidance to the business
Identifying, assessing and managing regulatory risk
Drafting and reviewing Quintet's RCC policies and procedures
Supporting the business with the implementation of new relevant initiatives from the local regulator and other UK regulators
Assisting Brown Shipley's Head of Compliance as well as RCC Head of Compliance in the production of technical analyses and reports related to regulatory risk
Partner with other teams within the Compliance Function to achieve Compliance's function strategic objectives
Requirements
Good working knowledge of the Brown Shipley and UK regulatory environment in the RCC topics as listed above.
Ability to interpret rules and regulation and communicate the requirements clearly and effectively to a diverse range of stakeholders.
Experience of drawing up and maintaining policies on regulatory requirements
Proven relevant experience in an Tier 1 private bank/ wealth or asset manager/ regulator/ legal or professional services firm.
Excellent written, verbal, numeric and comprehension skills and IT proficient