Senior Regulatory Reporting Specialist at Suade leading regulatory reporting and client implementation projects in the RegTech space. Collaborating with various teams to enhance documentation and elevate regulatory presence.
Responsibilities
Lead a portfolio of client-facing implementation projects, defining business requirements (new products, new regulations etc) and supporting clients with data mapping to the FIRE data schema.
Directly manage and train your team of graduate Business Analysts.
Be the subject matter expert in one family of regulatory reports and stay updated on regulatory changes liaising with clients and other experts in the industry.
Provide subject matter expertise in the construction and update of a family of regulatory returns in partnership with our Lead Engineers.
Supporting the Customer Success team by providing SME input to client queries under BAU conditions.
Develop and enhance documentation and training materials for clients and internal stakeholders.
Elevate Suade’s presence in the regulatory space and work with our Sales and Marketing teams in presentations and events where regulatory knowledge is required.
Requirements
A proven ability to understand, interpret and communicate complex regulatory rules (e.g. CRR / IFR in Europe) with subject matter expertise in at least one of the main reporting areas: capital, liquidity, leverage, balance sheet, credit risk, market risk etc.
At least 3 years of experience as a subject matter expert at a regulated firm or as a consultant.
Previous experience in a client-facing role – can be either external or internal stakeholders.
Deep banking product understanding (Loans, Securities, Derivatives, etc.)
High proficiency in Excel (lookups, pivot tables, etc.)
Good experience working with financial data, data mapping and analysis.
Attention to detail, often critical to the interpretation of regulation and writing requirements documentation.
Excellent stakeholder management with an ability to challenge and influence more senior stakeholders.
Excellent English verbal/listening and written communication skills with demonstrated ability to communicate effectively with various levels of management by distilling complex ideas.
Strong interpersonal and team working skills.
Flexibility to work under pressure to meet changing work requirements and strict deadlines.
Self-motivated, detailed-oriented, and able to work with minimal supervision.
Preferred Requirements:
Experience working with software solutions in the regulatory space.
Previous experience working with engineering teams, writing business requirements.
Previous experience working for a competitor in a similar position (Senior BA/Manager).
Benefits
Generous annual leave allowance, plus public holidays.
Public holiday swap– the option to take time off when it suits you, including the option to exchange public holidays for alternative days.
Additional tenure-based annual leave - 1 additional day for each year after two years of service.
Quality and Compliance Monitoring Manager overseeing safety management systems and quality assurance at Liebherr Aerospace in Dubai. Leading continuous improvement of safety practices and regulatory compliance efforts.
Director of Compliance managing Regulatory Compliance team at Intact Financial Corporation. Leading regulatory compliance, risk management, and team development with high - performing professionals.
Compliance Specialist II supporting compliance management through research, training, and internal assessments for regulatory adherence. Collaborating on policies and procedures for quality compliant culture.
Compliance Specialist assisting in the CRA program implementation for Simmons Bank. Analyzing loans, preparing assessments, and collaborating with various departments.
Associate Business Compliance Specialist providing compliance advice and managing administrative processes for American Family Life Insurance Company in a hybrid work environment.
Governance, Risk & Compliance Expert leading and enhancing enterprise GRC programs for a global tech team. Requires extensive experience with GRC tools and compliance frameworks.
Compliance Manager overseeing regulatory and operational risk/compliance initiatives for Mortgage Originations at M&T Bank. Leading a team and managing relationships with internal and external stakeholders.
Compliance & Quality Manager shaping Liberty Blume’s ISO compliance framework. Leading ISO certification activities and ensuring business - wide compliance in a dynamic environment.
Clinical Compliance Specialist overseeing pharmacy compliance and inventory management while supporting regulatory compliance and quality assurance in a clinical setting.
Director managing utility risks and regulatory engagement at Walmart. Leading initiatives for affordable, reliable, and clean energy systems through strategic leadership and collaborative efforts.