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|Location||City of London|
BRUIN financial is working with a leading, global investment management company. They are looking for a Client Regulatory Analyst to join their team. The ideal candidate will have experience in EU regulations as well as strong academic credentials, demonstrated analytical and writing skills, effective communications skills, and a high level of attention to detail.
Provide assistance to client facing teams on compliance and regulatory issues.
Help to ensure consistency and best practice across our compliance and regulatory reporting to clients.
Prepare compliance and regulatory reports for clients and handle client requests on these topics.
Coordinate completion of regulatory related reporting from internal departments.
Assist in preparing procedures and best practice guides related to the above for team members and other functional teams.
Share knowledge with others to raise overall comprehension of existing and new regulations.
The successful candidate will have:
The ability to work in a team-oriented environment, covering many projects and will be self-directed, often under intense deadline pressures.
Solid understanding of financial assets and financial markets.
At least 4-6 years of relevant professional work experience, preferably in a client reporting, regulatory, compliance, operational due diligence or subadvisor oversight or fund accounting setting.
Familiarity with EU regulations such as EMIR, MiFID II, and SFTR as well as trade cost analysis or reporting also a plus.
Experience with Windows, Outlook and Excel.
Ability to easily source, manipulate and analyse stores of data.
Excellent verbal and written communication skills.
Ability to multi-task while delivering high quality work.
Ability to easily build internal and external working relationships.
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