Job Description
- 3 to 5 year s experience working for a financial services firm and/or self-regulatory organization in Compliance, Risk, Regulatory roles and /or data analytics roles.
- Comfortable reading and interpreting regulatory notices and changes from regulators, including but not limited to, state/federal prudential regulators in the US, self-regulatory organizations and exchanges (NYFRB, FRB, SEC, CFTC, FINRA, NFA, MSRB NYSE, CME, etc.,) that are applicable to the businesses of a foreign banking organization s businesses, processes and operations (investment banking, corporate banking, markets activities, bank regulatory matters etc.,).
- Presentation and reporting skills including MS Excel, SharePoint, Word, and PowerPoint.
- Strong knowledge of data analytics, working with structured and unstructured data.
- Experience with visual analytics tools (PowerBI, Tableau and/or other tools).
- Strong execution skills with the ability to work successfully under demanding deadlines.
- Team player with the ability to work collaboratively with front, back office and Compliance stakeholders and senior management.
- Strong communication skills including proficiency in writing concise and substantive commentary to summarize results.
- Strong attention to detail.
- Problem solving skills.
- Knowledge of corporate and institutional banking laws, rules, regulations, supervisory guidance, and industry best practices.
- BA or BS Degree a must.
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