Compliance and Regulatory Risk Analyst
About this job
A global Investment Management firm who have recently set up in Dublin currently seeks a Compliance and Regulatory Risk Analyst to join their boutique operation.
The main requirement for this role involves supporting the oversight and delivery of timely and accurate European regulatory reporting including EMIR, SFTR, MiFID II, MMFR and UCITS risk reporting. You will work alongside the Head of Compliance, corresponding with regulatory bodies on regulatory reporting and other matters as required.
The main attributes from the candidate perspective will be a person who has good analytical skills, with up to 5 years’ experience in regulatory reporting, or relevant compliance, risk, legal or other control-related functions in the financial services or legal/consulting firm. Experience of some or all of MiFID/ MiFIR, UCITS, AIFMD, EMIR and other regulatory reporting requirements essential. EMIR reporting being the most important.
The company provide the opportunity to progress quite fast in the role. You will get exposure to a wide variety of areas with the chance to work with highly experienced Investment professionals with a wealth of knowledge to share.
Salary range of offer is €45,000 – €50,000 + Benefits (Including annual discretionary cash bonus, annual discretionary share awards, proceeds from vesting shares, a wide range of benefits.)
How to apply
For further information on this job opportunity please apply via this link with your updated CV to Jamie O’Riordan at Lincoln Recruitment. ( | 01 661 0444.)