As a member of the Financial Services Advisory team, you will contribute to the delivery of regulatory compliance support to clients engaged in banking, investment services, fintech and insurance activities. Your role will focus on assisting with regulatory assessments, contributing to the development of compliance programs, and helping clients understand and adhere to their regulatory obligations.
Key Responsibilities:
- Provide advice on regulatory requirements, changes, and risks to clients and internal teams.
- Conduct regulatory impact assessments for new regulations.
- Contribute to the preparation and submission of regulatory documentation and filings.
- Collaborate with other service lines within EY to provide integrated solutions to clients.
- Maintain up-to-date knowledge of regulatory developments and trends across multiple jurisdictions.
- Contribute to the growth of the Regulatory Compliance team by identifying new business opportunities and client relationships.
- Contribute to thought leadership and participate in industry forums.
Qualifications & Experience:
- Bachelor's degree in Law, Business, Finance, or a related field.
- Minimum of 2 years of experience in regulatory affairs or compliance within a consulting firm, regulatory agency, or relevant industry.
- Sound understanding of regulatory frameworks and processes applicable to credit and financial institutions. Working experience in these areas will be considered an asset.
- Strong communication and interpersonal skills.
What we offer:
- A collaborative environment where everyone works together to create a better working world.
- Excellent training and development prospects, both through established programs and on-the-job training.
- A talented and experienced team of senior colleagues, dedicated to managing and varying your workload.
- Opportunities to work with a variety of clients within the financial services industry, enhancing your professional experience across various sectors.