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Citi Group Compliance Product Director - Conflicts & Information Barrier Advisory 
United Kingdom, England, London 
357727631

Today


Responsibilities:

  • Support the implementation and execution of the Conflicts of Interest (COI) program and the Information Barrier Advisory program for the UK, Europe & MEA Cluster
  • Provide subject matter expertise, guidance and advisory services to senior leadership across all businesses and functions in the cluster.
  • Directing the design, development, delivery and maintenance of best-in-class Compliance, programs, policies and practices for ICRM.
  • Translating ICRM strategy and goals across Citi’s clients, products and geographies in a succinct and clear manner; providing direction and guidance on the programs.
  • Responsible for driving forward business engagement in the cluster across all businesses and functions with a focus on conflicts of interests and information barriers/inside information.
  • Coordinate with colleagues and CIBA global leads to support the implementation of the COI global programs in the UK, Europe and MEA Cluster.
  • Providing oversight and guidance over the assessment of complex issues, structures potential solutions and drives effective resolution with other stakeholders.
  • Analyze firm’s touchpoints to determine potential conflicts of interest. Provide advice and maintaining the Firm's information barrier, through policies and procedures reasonably designed to prevent the misuse of material non-public information ("MNPI"), also known as non-public price-sensitive or ‘inside information’.
  • Collaborate with colleagues on a global level and standardize regional practices. Provide senior leadership and support to other members of the Conflicts and Information Barrier team including developing and implementing training programs for new joiners.
  • Overseeing the identification and assessment of Citi’s key compliance risks. Ensuring compliance risks within Citi are effectively identified, measured, monitored, and controlled, consistent with the bank’s risk appetite statement and all policies and processes established within the risk governance framework.
  • Developing and establishing firm wide compliance risk management policies and procedures to mitigate risks. Monitors and measures compliance risk through a robust control framework and ensures that reviews are conducted consistently across each entity on a regular basis to confirm that controls identified are operating effectively.
  • Working collaboratively with Citi business/functional line management including Legal, Business Management, Operations, Technology, Finance, other Control Functions, and In-Business Risk in recommending, developing and executing on business initiatives within permissible statutory and regulatory frameworks and to address COI compliance issues which may impact the supported businesses.
  • Representing Citi on critical regulatory matters as required. Serving as liaison with regulatory examiners, Internal Audit, and external auditors on critical Compliance issues and overseeing the implementation of related remediation.

Qualifications:

  • Highly motivated, strong attention to detail, team oriented, organized
  • Excellent written, verbal and analytical skills
  • Strong communication and interpersonal skills; strong presentation skills with the ability to articulate complex problems and solutions through concise and clear messaging
  • Ability to interact and communicate effectively with senior leaders
  • Significant knowledge and expertise of Compliance laws, rules, regulations, risks and appropriate controls, with deep experience in: Conflicts of Interest/Control Group oversight; Market Abuse Regulation (‘MAR’), Prohibition on Use Of Manipulative Or Deceptive Practices Regulation (‘Prohibition’) and Prevention Of Misuse of Material, Non-Public Information (‘MNPI’).
  • The individual must be capable of operating independently in a fast-paced environment, supporting senior stakeholders across businesses and control functions, and navigating a complex regulatory landscape.
  • Experience in the design and implementation of Compliance programs
  • Demonstrated ability to assess complex issues through root cause analysis and other analytical techniques; structure potential solutions; drive to resolution with senior stakeholders
  • Ability to influence and lead people across cultures at a senior level using sound judgment and successful execution, understanding how to operate effectively across diverse businesses
  • Experience with and previous exposure to internal or external control functions and regulators
  • Ability to challenge business management and escalate issues when appropriate
  • Strong track record of effectively assessing and managing competing priorities
  • Comfort navigating complex, highly-matrixed organizations
  • Comfortable acting as an agent for positive change with agility and flexibility
  • Effective negotiation skills, a proactive and 'no surprises' approach in communicating issues and strength in sustaining independent views.
  • Strong presentation and relationship management skills are essential
  • Subject matter expertise in area of focus
  • Experience working in Capital Markets or other Investment Banking roles with experience on transactions and deal making strongly preferred.
  • Experience working in a Control Group or Product Compliance function that covered Investment Banking transactions and or Research strongly preferred.

Education and experience

  • Bachelor’s degree
  • Preferred: Advanced degree (e.g. JD, MBA) a plus.
Product Compliance Risk Management


Time Type:

Full time

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