Regulatory Compliance Manager at Moneycorp managing compliance oversight and advisory for payments and MiFID-regulated entities. Ensuring compliance with regulations and managing regulatory risks to support the business growth.
Responsibilities
Lead Regulatory Compliance function with a dual focus on central compliance oversight and product compliance advisory
Maintain a robust compliance framework covering governance, policies, monitoring, training, regulatory engagement, and risk assessment
Provide expert advisory to product, technology, and commercial teams
Ensure compliance with Payment Services Regulations and MiFID II for business model, products, and initiatives
Foster a culture of compliance and proactively manage regulatory risks
Serve as a focal point for communications with regulators and coordinate responses
Conduct reviews and approvals of financial promotions and client onboarding
Requirements
Background in managing regulatory compliance team(s)
Strong knowledge of PSRs 2017, MiFID, Conduct of Business Rules
Experience working within a MiFID firm, Bank, PSP, EMI or Regulator
Experience in liaising with regulators (e.g. FCA, FOS, PSR)
Experience in implementing new regulatory changes e.g. Consumer Duty, Operational Resilience, Safeguarding
Strong compliance advisory background in the protection of client money and trade reporting requirements (e.g. CASS 7, Safeguarding and EMIR Reporting)
Experience in preparing and submitting regulatory notifications and returns to the FCA (SUP 15 notifications, Major Incident Reporting, Breach Reporting)
Industry accredited professional qualifications e.g. CISI, ICA
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