London, United Kingdom
4 days ago
Vice President, Compliance Advisory - US Regulations CFTC and SBSD Swap Dealer

Do you want your voice heard and your actions to count?

Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups. Across the globe, we’re 120,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.

With a vision to be the world’s most trusted financial group, it’s part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.

Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.

MAIN PURPOSE OF THE ROLE 

This is a high visibility role that will be responsible for establishing the EMEA regions operational efficiency in US regulatory compliance and reporting, including CFTC/NFA and SEC Swap Dealer (collectively “US regulatory tasks” framework) including but not limited to compiling the required reporting to the US authorities). The role will have direct exposure to all levels of the business and will be the primary contact for the US regulation advisory and  related tasks management.

KEY RESPONSIBILITIES

The role will be acting across MUFG’s banking arm and securities business under a dual-hat arrangement. Under this arrangement you will be the SME of US regulatory requirements. To develp efficient work flow and operation model US Reg compliance for both the bank and the securities business, subject to the same remit and level of authority, irrespective of the entity which employs you.

Job responsibilities:

To develop a more mature and efficient US regulatory related tasks’ framework and workflow.

Carry out the day to day management of US related regulatory tasksProvide support and delegation to the Head of Advisory as necessaryAssist in the development of  the US Regulation Compliance framework across all relevant  business lines operating in EMEA. This includes uplift of CFTC/NFA and SEC  programmes and monitoring of adherence to programme by impacted departments.Provide proactive advice, guidance and challenge to the businesses in regulatory compliance matters with a particular focus on US regulatory related matters (including but not limited to identification of risk, escalation and management).Work closely with the Regulatory Change Team (who lead on providing advice and guidance on regulatory developments which are in the upstream/implementation phase) for example in drafting and updating policies, procedures and developing and delivering training.Provide training to the front office on regulatory and conduct matters with a particular focus on US regulation including for Swap Associated Persons .Represent Advisory Compliance at the Swap Dealer Oversight CommitteeDraft the annual CFTC/NFA and SEC Compliance reports.

WORK EXPERIENCE

Essential:

extensive compliance experience within a Advisory/ Legal function, specialising US regulatory complianceSeasoned VP with experience in Market Side Compliance Advisory role in an investment banking organisation

 
 

SKILLS AND EXPERIENCE

Functional / Technical Competencies:

Essential

Strong understanding and knowledge of Market Compliance and other investment banking products, including but not limited to  loans, bonds and structured finance, and particular strong experience in Sales and Trading.In depth knowledge of MAR and MiFID II, and US regulatory complianceStrong knowledge of risk, compliance and controlsStrong understanding of key regulations applicable to markets products, including MiFID II, MAR and US regStrong interpersonal and communication skillsSharp intellect with the ability to grasp complex concepts  Ability to challenge independently and constructively, where appropriate in order to achieve engagement and drive resolutionAbility to act autonomously when appropriate and know when to escalate mattersHighly organised, goal oriented and solutions focused

Education / Qualifications:

Essential

Strong educational background with a university degree preferably in Law and/or Financial RegulationUS regulatory Compliance experience at least years (or more) in investment banking

PERSONAL REQUIREMENTS

Excellent communication skillsA proactive, motivated approach.The ability to operate with urgency and prioritise work accordinglyStrong decision making skills, the ability to demonstrate sound judgementA structured and logical approach to workExcellent interpersonal skills valuing team workThe ability to manage large workloads and tight deadlinesExcellent attention to detail and accuracyA calm approach, with the ability to perform well in a pressurised environmentSharp intellect with excellent researching skill necessary for the US regulatory related tasksConscious of confidentiality involved in the nature of business and regulatory compliance related tasksAbility to work/ collaborate with variety of stakeholders of all related regions and Head Office

We are open to considering flexible working requests in line with organisational requirements.

MUFG is committed to embracing diversity and building an inclusive culture where all employees are valued, respected and their opinions count. We support the principles of equality, diversity and inclusion in recruitment and employment, and oppose all forms of discrimination on the grounds of age, sex, gender, sexual orientation, disability, pregnancy and maternity, race, gender reassignment, religion or belief and marriage or civil partnership.

We make our recruitment decisions in a non-discriminatory manner in accordance with our commitment to identifying the right skills for the right role and our obligations under the law.

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