Serve as the ultimate owner and senior subject matter expert for regulatory intelligence and change management for a designated set of services
Lead the strategic monitoring and interpretation of the global derivatives regulatory landscape
Own and govern the end-to-end software development lifecycle for your product area
Drive engagement with senior leaders across Technology, Operations, Legal, and Compliance
Lead the translation of complex regulatory text into clear, actionable business and functional requirements
Establish and maintain a robust governance framework for regulatory change within your product area
Provide guidance, mentorship, and development to junior members of the product development team.
Requirements
A Bachelor's degree in Finance, Economics, Law, Business, or a related field
An advanced degree (MBA, JD) is highly preferred
A minimum of 10+ years of experience in the financial services industry
Significant experience at a large sell-side investment bank
Deep subject matter expertise in major global derivatives regulations (e.g., Dodd-Frank, EMIR, MiFID II/MiFIR)
Proven track record of leading large-scale, cross-functional regulatory change or compliance programs
Demonstrated experience in gathering and writing business requirements and overseeing technology implementation programs in a financial services context
Exceptional analytical and problem-solving skills, with a proficiency in leveraging data analysis tools to inform strategic decisions
Strong understanding of relational databases and the ability to use SQL for complex data investigation and validation
Outstanding communication and presentation skills, with proven experience influencing and advising senior business leaders.
Benefits
Health coverage
Flexible paid time off
Remote-work perks
Applicant Tracking System Keywords
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