Regulatory Risk Analyst
Reporting to the Senior Regulatory Compliance Manager, the role will include developing, reviewing and enhancing regulatory policies and procedures to ensure continued compliance with prudential requirements (e.g. the Capital Requirements Regulations, the Capital Requirements Directive, the Bank Recovery and Resolution Directive).
- Minimum 3 years’ experience in Financial Services and in a compliance, risk, audit or internal control role.
- Likely to have a third level qualification, with a Diploma in Compliance (or similar) beneficial.
- Exposure to Irish/EU regulatory environment an advantage.
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