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Job Location | Edinburgh |
Education | Not Mentioned |
Salary | Competitive salary |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Permanent, full-time |
Job Description - Senior Manager, Regulatory RiskAt Lloyds Banking Group, were motivated by a clear purpose - to Help Britain prosper. Across the Group, our colleagues are focused on making a difference to customers, businesses and communities.Were seeing the unprecedented changes in the banking sector brought about by shifts in technology, our customers changing preferences and the evolving and regulatory environment. So were adapting, innovating and responding at pace to ensure we can continue become the best bank for customers.Insurance and Wealth helps personal and business customers with their long-term protection, retirement and investment needs. We support around 10 million customers with assets under administration of £155 billion and annuity payments in retirement of over £1 billion every year.As a Senior Manager, Regulatory Risk you will provide support senior management and Heads of Function across the Investment management business to identify, interpret and implement regulatory change. You will provide thought leadership, knowledge, analytical skills and have stakeholder management capability and self-confidence to challenge existing processes and to make well researched and soundly judged recommendations.This role provides the opportunity to develop personally, work flexibly and collaboratively with an ambitious team, to help us transform our colleague experience and bring to life the Groups vision of being the Best Bank for Customers & colleagues. In this role you will work alongside other risk experts covering investment, operational and regulatory risk.What youll be doing...Youll oversee investment related regulatory activity within the business as well as where this is delegated to other teams e.g. asset managers, custodian. You will provide regulatory (and some operational) advice on the substance, design and development of key propositions /business solutions and related risks and issues.You will help shape an effective investment compliance monitoring plan to support the ACD Board and provide assurance that the investments businesses remain compliant.Review, interpret and advise on FCA and PRA Handbook rules and guidance, EU financial services regulations, directives, technical standards as well as legal, regulatory rules and IA best practice guides.Provide expert regulatory advice and challenge to strategic business projects through mobilisation, delivery and implementation phases.Attend regulatory committees and forums to represent the business area including presenting papers and analysis.Youll build and maintain an effective internal and external network of key partners to establish understanding of the business and Regulatory environment and risksWere looking for your skills in the following...