The Position We wish to appoint a highly experienced .
The ideal candidate will have a risk, compliance, internal audit, accountancy or similar background and at least 10 years' experience.
As an experienced member of the consulting team, you will have the opportunity to lead or support the delivery of a range of projects of a recurring and non-recurring nature in the following areas: Relevant regulatory investigations Prudential FS compliance and risk management Design of internal control frameworks Advanced technical, communication, project management multitasking and client relationship skills are required for this role.
Responsibilities High quality service delivery Reporting into the partners/ directors, working towards the achievement of departmental goals and targets Working to deadlines and within budgets on each assignment Growing your knowledge of banking regulatory and compliance in the prudential space Involvement as an ambassador in firm / department / practice development and marketing initiatives Managing and developing junior team members Supporting the delivery of training for the team and department Writing articles on regulatory topics for publication Principal Requirements Qualification in accountancy or relevant industry qualification (e.g.
QFA, ACOI, CFA, ACCA, ACA, CIMA) Ideally, a minimum of 5 years' experience within risk/ compliance / banking consulting Good understanding of risk and compliance regulations (CRR, CRD, BRRD, IFR/D, EMI/PSD etc) Demonstrated knowledge of challenges and developments within the banking industry Excellent oral and written communication skills Experience of operational supervision of assignments and managing of client relationships Excellent interpersonal skills and the ability to work in a team environment Strong organisational and planning capabilities Ability to work on own initiative and to provide guidance to others Experience of working to deadlines and delivering under pressure Excellent computer-literacy skills Experience in a professional services firm