Senior Associate, Regulatory Consulting

3 - 4 years

1 - 12 Lacs

Posted:1 day ago| Platform: Foundit logo

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Work Mode

On-site

Job Type

Full Time

Job Description

As a Senior Associate within an expanding team, you will gain exposure to exciting projects. In addition, your career and development opportunities are unparalleled with exposure to clients from day one. Being part of a specialist group, but within a truly global firm, means your personal impact will be instant and supported by an ambitious full service professional services firm.

As a Senior Associate you will:

  • Participate in an extensive range of assignments based on global regulatory focus, our growth strategy, personal experience and career aspirations.
  • Analyse organisations, their processes, controls and governance arrangements to assess their efficacy and identifying issues.
  • Prepare recommendations for management, regulators and other stakeholders, based on regulatory expectations and industry best practice to remediate non-compliance or operational weaknesses.
  • Conduct research and draft advice on regulations across Jersey, the UK and other jurisdictions.
  • Draft client deliverables including written reports, ad hoc advice and training materials.
  • Contribute to client meetings including preparation and delivery of presentations or fact-finding interviews.
  • Support with management of day-to-day client relationships and project management activities.
  • Contribute to business development opportunities including proposals, pitches, internal and external publications, client networking events and service offering campaigns.

REQUIREMENTS:

We are looking for someone who is passionate, focused, intellectually flexible, collaborative and entrepreneurial. This role would suit a team player who enjoys solving complex business problems, using their drive and initiative to reach successful conclusions within tight deadlines.

Minimum 3 - 4 years financial services experience, either in industry or as an advisor or regulator.

Experience in one or more of risk management and regulation, compliance, controls and assurance.

Strong interest the financial services industry, its current trends and issues.

Attention to detail with curious and analytical mind-set.

Strong oral and written communication skills, presentational expertise and a focus on excellence in client output.

Comfortable and effective working with wide groups of stakeholders, from C-suite to functional heads to operational staff, developingstrong stakeholder relationships.

Client facing, solutions focused, individual with ability to work independently and as part of a team.

Experienced in Microsoft office, specifically PowerPoint, Word and Excel

Strong academic background, likely to degree level, with an additional qualification in an area such as accounting (ACA, CIMA, ACCA), compliance (ICA), securities &investments (CISI, CFA) or internal audit (CIIA) being beneficial (or equivalents).

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