A Foreign Banking client is seeking a highly skilled compliance professional to oversee their Regulatory Change Management Program. This position will play a critical role in ensuring effective regulatory oversight and compliance across all US operations.
Key Responsibilities:
- Lead the execution and management of the Regulatory Watch / Change Management / Laws, Rules & Regulations (LRR) program, coordinating closely with various teams and ensuring timely updates on regulatory changes.
- Serve as a key resource on regulatory processes and guidance for Compliance and business partners.
- Oversee the compliance change management tool, working with vendors to resolve issues and maintain data accuracy.
- Prepare reports, updates, and materials for governance committees, management, and regulators.
- Update and maintain policy and procedure documents to align with industry standards and regulatory guidance.
Qualifications:
- Bachelor’s degree required; advanced degree (MBA, JD) preferred.
- Minimum 7 years of experience in compliance or risk management, with a focus on regulatory change management.
- Strong understanding of US banking regulations (e.g., FED, NYDFS, SEC, CFTC) and Foreign Bank Organization requirements.
- Project management experience and proficiency in MS Office, especially PowerPoint and Excel.
- Excellent communication skills, with the ability to work independently and collaboratively across teams.
This role is three days a week onsite in Manhattan, New York.
This is a high-impact role ideal for a detail-oriented compliance professional with solid regulatory expertise and a proactive approach.
Apply directly or email your updated CV to for inquiries.