Senior Compliance Risk Officer
About the job
Morgan McKinley are delighted to be partnering with a leading global financial services organisation to hire a Senior Compliance Risk Officer to join a well-established and growing Dublin-based Compliance team. This is a high-impact role with strong global exposure, working closely with stakeholders across multiple regions and business lines.
The Opportunity
In this role, you'll act as a Senior Compliance Partner within Independent Compliance Risk Management (ICRM), supporting key product areas including deposits, money market funds, cash concentration, and liquidity management.
You'll play a critical role in shaping compliance strategy, advising the business on regulatory requirements, and ensuring robust frameworks are in place to manage risk and protect the organisation.
Key Responsibilities
- Design, develop and maintain best-in-class compliance programmes, policies, and frameworks
- Act as a subject matter expert on compliance, providing real-time regulatory guidance to the business
- Monitor and interpret regulatory developments, assessing impact across products and geographies
- Lead regulatory change initiatives and deliver solutions aligned to evolving requirements
- Manage responses to regulatory exams, audits, and investigations
- Conduct compliance reviews and drive improvements in controls and processes
- Partner with global teams including Legal, Risk, Operations, Technology, and Finance
What We're Looking For
- Strong experience in compliance, legal, or risk within financial services or a regulatory/consulting environment
- Deep understanding of regulatory frameworks, compliance risks, and industry practices
- Experience supporting or overseeing products such as deposits, liquidity, or investment products (highly desirable)
- Proven ability to manage regulatory exams and engage with auditors and regulators
- Excellent communication skills, with the ability to present complex issues clearly to senior stakeholders
- Strong stakeholder management skills, with the ability to influence across a global organisation
Qualifications
- Bachelor's degree (advanced degree or relevant certifications beneficial)
- Demonstrated experience in a compliance or control function within financial services
- Strong working knowledge of regulatory requirements (including local, US, and international frameworks)
