CIB Risk - EMEA Risk Regulatory Management - Associate

Job Details

permanent
London, London, United Kingdom
NORTH AMERICA
19.03.2024
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Full Job Description

In this role, you will be working in EMEA Chief Risk Office function to support EMEA Risk’s regulatory engagement activity. The EMEA Risk Regulatory engagement team consists of 1 Executive Director, 1 Vice President, and this role. As a member of a relatively small team, you will be contributing to the team’s deliverables and be responsible for EMEA Risk-level publications in a relatively short time.

Day-to-day responsibilities of the role include supporting various Risk teams with regulatory meetings, exams, and requests for information; coordinating regulatory issue management; lead on preparing regulatory management information materials; and supporting the program management of regulatory remediation projects.

In the role, you will work closely with Compliance, who manage the firm’s relationship with the regulators and Control Management, who track the delivery of regulatory deliverables and remediation. You will build legal and corporate entity knowledge about JP Morgan, and learn about and respond to the Risk regulatory and supervisory priorities across various EMEA jurisdictions.

You will seek opportunities to and assist in the development, enhancement, and ongoing maintenance of Risk Regulatory Management tools, frameworks, and policies

Job responsibilities

  • Support the coordination of regulatory engagement within and impacting the EMEA Risk function, including meetings, exams, requests for information and remediation activity
  • Support the preparation of meeting materials and submissions, working with Risk SMEs on input and reviewing proposed materials to ensure quality and messaging consistency
  • Track and monitor regulatory exams, requests, and meetings impacting Risk, providing management information as appropriate including input into Global Risk Regulatory tracking/briefings
  • Coordinate regulatory issue management activity, partnering with the broader Risk Control Office and issue owners
  • Lead on the production of regulatory management information packs related to all Risk regulatory activity, including relevant policy developments.
  • Support the program management of regulatory remediation and/or implementation projects that have cross-Risk function impact where necessary
  • Strong stakeholder engagement skills with ability to communicate (oral and written) effectively at all levels
  • Ability to multi-task, work well under pressure with commitment to deliver under tight deadlines
  • Strong analytical skills with ability to analyze problems and aggregate data
  • Keen attention to detail, and be inquisitive and proactive in identifying problems and solutions
  • Project management skills and an ability to build consensus and drive initiatives to completion effectively

Preferred qualifications, capabilities, and skills

  • Experience in financial services, ideally in the 2nd  Line function of a large international bank, or an EMEA regulatory or supervisory authority
  • Experience with, or knowledge of, implementing effective control environments especially in the Financial Services Industry
  • Knowledge of the current and forward-looking regulatory and supervisory landscape across EMEA jurisdictions, particularly on the prudential side, will be beneficial