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Regulatory Compliance Manager
Hirschman AssociatesRegulatory Compliance Manager advising an international financial institution on European and national regulations. Supporting risk assessments, governance, audits, reporting, and corporate and investment banking compliance.
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in European and international regulatory frameworks, providing practical compliance advice and conducting thorough Compliance Risk Assessments. Proficient in stakeholder communication and regulatory reporting, with fluency in both German and English.
Highest-signal resume keywords
Regulatory Compliance ExpertiseCompliance Risk AssessmentStakeholder ManagementRegulatory ReportingFluency in German and English
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
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Hard Skills
Regulatory AnalysisMiFID IIMiFIREMIRMARWpHGKWGRegulatory GuidanceCompliance Policy DevelopmentRegulatory Training
Soft Skills
Analytical SkillsOrganisational SkillsProblem-Solving SkillsAttention to DetailCommunication Skills
Industry Keywords
Financial SectorComplianceLegal FunctionsMultinational Financial InstitutionsBanking AssociationsSupervisory Bodies
About the role
Key responsibilities & impact- Monitor, analyze, and evaluate new and existing European and national regulations, including MiFID II, MiFIR, EMIR, MAR, WpHG, KWG, and regulatory circulars
- Assess applicability and implementation requirements of regulatory changes
- Provide practical regulatory advice to front office and business units on day-to-day compliance matters
- Act as subject matter expert in compliance-related projects and bank-wide initiatives
- Support the annual Compliance Risk Assessment and ensure findings are reflected in policies, procedures, and standards
- Design and coordinate Compliance Risk Assessments
- Support the development, implementation, and local adaptation of compliance policies and frameworks
- Deliver regulatory training and communication to impacted stakeholders
- Coordinate regulatory communications with local, EMEA, and Head Office stakeholders
- Act as key contact for internal and external audits, regulatory reviews, and investigations
- Prepare regulatory reports, management documentation, and executive-level materials
- Support the Head of Regulatory Compliance in managing and coordinating compliance matters across corporate and investment banking businesses
Requirements
What you’ll need- University degree in Law, Business, Economics, or equivalent professional qualification
- Proven experience within the financial sector or in regulatory, compliance, or legal functions
- Strong expertise in European and international regulatory frameworks for multinational financial institutions
- In-depth understanding of regulatory guidance issued by banking associations and supervisory bodies
- Highly developed analytical, organisational, and problem-solving skills
- Ability to work independently, proactively, and with high attention to detail
- Strong stakeholder management and communication skills
- Fluency in both German and English, written and spoken
Benefits
Comp & perks- Attractive compensation package including bonus scheme
- Flexible working models and hybrid working options
- Modern offices in central locations
- Professional development and tailored training opportunities
- International environment with diverse projects and colleagues
- Company pension scheme and additional employee benefits
- Health and wellbeing initiatives
- Inclusive and team-oriented corporate culture