Vp-compliance - Frankfurt am Main, Deutschland - Moody's

Moody's
Moody's
Geprüftes Unternehmen
Frankfurt am Main, Deutschland

vor 5 Tagen

Lena Wagner

Geschrieben von:

Lena Wagner

beBee Recruiter


Beschreibung

Team/Department Description:

Moody's Compliance function operates globally to provide Compliance support, guidance and implementation to its business lines.

This role is part of the EMEA Compliance team who are based out of London, Frankfurt, Paris, Dubai and Vilnius.

The team is responsible for developing, implementing and administering the company's internal Compliance function across the EMEA region.


Role/Responsibilities:


Responsibilities:


  • Develop and advise on processes and procedures to implement Compliance policies based on local requirements in particular with respect to the regulatory environment in the EU.
  • Identify differences between local laws, regulations and company policies to recommend solutions as appropriate.
  • Advise the business on the material to be presented, positions to take and regulatory expectations to meet for all forms of supervisory engagement.
  • Perform periodic outreach to local office(s) in order to provide colleagues with Compliance updates as well as opportunities for colleagues to ask Compliancerelated questions in a 'safe' environment.
  • Support information gathering, review and generation of responses for regulatory supervision, including management of regulatory information requests, regulatory exams and Compliance oversight of remediations. This includes preparing and briefing staff for regulatory interviews and examinations.
  • Work closely with the global Compliance team on a variety of Compliance matters including the implementation and administration of the company's Compliance program in the region, which involves delivery of reporting, risk assessment, monitoring and training.
  • Assist in the preparation of periodic Compliance reports for internal and external use.
  • Provide technical guidance and advice to rating group and support staff regarding Compliance matters.
  • Maintain frequent contact with management and key stakeholders globally regarding Compliance matters.
  • Evaluate and respond to alleged violations of rules, regulations, policies, procedures and standard of conduct, including conducting internal investigations.
  • Provide daytoday Compliance guidance and advice to lines of business. Analyse and escalate emerging issues expeditiously in order to provide visibility of risks to senior management.

Qualifications:


  • Significant relevant postqualification experience gained in Compliance and/or a regulatory environment. Specific experience in regulated financial institutions or capital markets environment preferred.
  • Experience in interacting with financial supervisory authorities or financial stability regulators is desirable.
  • Strong academic background, including university degree, preferably in law. Compliance certification preferred.
  • Excellent verbal and written communications skills in English. Must be able to synthesize thoughts into cohesive documents ready for senior management review. Additional fluency in one or more other EMEA languages is desirable.
  • Evidence of thoughtful and insightful approach to issues whilst maintaining the highest ethical standards.
  • Professional, proactive, flexible, diligent and dependable.
  • Excellent interpersonal skills and able to build strong professional relationships at all levels.
  • Adapts to changing market conditions and business environment.
  • Highly organized and efficient with ability to multitask and meet tight deadlines whilst maintaining flexibility in order to meet regulatory deliverables.
  • Works effectively and supportively within a team as well as being able to work autonomously without the need for close supervision.

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