You are visiting this website from:
View All Jobs

Regulatory Compliance Advisor

Job Seekers Ireland Compliance Financial Services

Job Summary

  • Dublin
  • Permanent
  • BBBH823687
  • Jul 27, 2022
  • Competitive
Job Description

Morgan McKinley has partnered with a leading banking company who are seeking to recruit a Regulatory Compliance Advisor for their Dublin office.

The Role:

  • Constructively engage in key business relationships across Retail and Change Programmes to ensure that business areas are aware of the impact of new and existing regulations and key developments in their regulatory environment. Knowledge of a wide range of Regulations including Consumer Protection Codes, and regulations/codes relevant to Mortgages, Credit, and Payments is required

  • Provide relevant, consistent and timely risk appropriate advice and support to the business.

  • Review and challenge of new products, propositions and product reviews.

  • Coordination and compilation of key Regulatory Compliance and Conduct MI for fora reporting.

  • Represent the Compliance function at key Risk governance fora.

  • Support the monthly Regulatory Compliance and Conduct Risk Appetite Statement (RAS) process and manage key stakeholder interactions and engagements.

  • Review and challenge of Third Party Risk Assessment Templates (RATs) from a Regulatory Compliance and Conduct of Business in line with regulatory requirements.

  • Proactively challenge internal Regulatory Compliance and Conduct Risk processes and practices to identify continuous improvements.

  • Identify conduct of business regulation risks and communicate these clearly and concisely to impacted business areas.

  • Instil ownership of regulatory compliance risk within the 1st line Business Areas through targeted training and awareness initiatives.

  • Support the delivery of business projects and represent Compliance Advisory as a conduct of business regulation subject matter expert. Attend key milestones of business and regulatory projects and provide Regulatory Compliance and Conduct advice.


  • 4+ years compliance or regulatory experience within a Financial Services environment (Payments, Banking, Insurance, Credit), as part of a Financial Services/Banking Institution preferably in a second line advisory role in Compliance and/or Risk, or in an advisory capacity. Relevant Professional qualification would be advantageous.

  • Have a proven understanding and experience in key banking regulation, directives, standards and guidelines existing and new, such as the Consumer Protection Code, Code of Conduct on Mortgage Arrears, SME Regulations, PSD II, Central Credit Register, Mortgage Credit Regulation, Consumer Credit Act, Consumer Credit Regulation and the ability to provide accurate advice, review and challenge in relation to these.

  • Have a proven understanding and experience of key banking products and associated regulatory compliance processes. Knowledge of key Regulatory reporting MI, RAS, internal polices and frameworks would be advantageous, along with excellent attention to detail.

  • Have a proven experience in managing relationships with business stakeholders and/or regulators.

Morgan McKinley is acting as an Employment Agency in relation to this vacancy.


Consultant Details

Consultant Details

Órlaith Jennings
  • Consultant | Financial Services Recruitment
  • 353 (0) 1 4321555