LOG IN
SIGN UP
Canary Wharfian - Online Investment Banking & Finance Community.
Sign In
OR continue with e-mail and password
E-mail address
Password
Don't have an account?
Reset password
Join Canary Wharfian
OR continue with e-mail and password
E-mail address
Username
Password
Confirm Password
How did you hear about us?
By signing up, you agree to our Terms & Conditions and Privacy Policy.

Job Details

UBS logo
Bulge Bracket Investment Banks

Client Relationship Manager

at UBS

ExperiencedNo visa sponsorship

Posted 12 days ago

No clicks

Senior compliance role supporting Global Markets by providing independent, timely guidance to the business on day-to-day activities, new initiatives, regulatory developments and client transactions. The role assesses and interprets regulatory requirements (e.g., ASIC, ASX, Cboe), identifies and tracks compliance risks, and recommends process and system improvements to mitigate those risks. Responsibilities include drafting policies, manuals and compliance notices, delivering face-to-face training, responding to regulatory queries and supporting regional Compliance and Operational Risk Control activities. The role also liaises with internal audit and participates in thematic and global reviews.

Compensation
Not specified

Currency: Not specified

City
Sydney
Country
Australia

Full Job Description

Do you know how to keep an eye out for and avoid risk? Do you make sensible calls in challenging situations, including knowing when to escalate? Do you specialize in Global Markets Compliance Advisory? We are looking for someone to help: provide independent and timely guidance to the business and other functions on all issues relating to day to day business, new business initiatives, regulatory developments and transactions undertaken by clients • assess regulatory requirements (e.g.: ASIC / ASX / Cboe) to ensure compliance risks are identified, reported and tracked to their resolution • analyse processes and systems and provide guidance to relevant stakeholders on the implementation of improved solutions that support business and mitigate compliance risk • liaise with internal auditors on various requests in relation to compliance matters • draft and deliver face to face training to the business • review manuals and compliance notices to ensure they are properly revised or updated where necessary • draft new manuals, Compliance Notices, policies and procedures in light of regulatory amendments and/or business changes • work with other members of the Compliance and Operational Risk Control team, locally and regionally to support the Compliance Framework • Respond to regulatory queries • Perform local read across thematic reviews and assist with similar global reviewShow more Business Aligned Compliance & Operational Risk Officer

Job Details

UBS logo
Bulge Bracket Investment Banks

12 days ago

clicks

Client Relationship Manager

at UBS

ExperiencedNo visa sponsorship

Not specified

Currency not set

City: Sydney

Country: Australia

Senior compliance role supporting Global Markets by providing independent, timely guidance to the business on day-to-day activities, new initiatives, regulatory developments and client transactions. The role assesses and interprets regulatory requirements (e.g., ASIC, ASX, Cboe), identifies and tracks compliance risks, and recommends process and system improvements to mitigate those risks. Responsibilities include drafting policies, manuals and compliance notices, delivering face-to-face training, responding to regulatory queries and supporting regional Compliance and Operational Risk Control activities. The role also liaises with internal audit and participates in thematic and global reviews.

Full Job Description

Do you know how to keep an eye out for and avoid risk? Do you make sensible calls in challenging situations, including knowing when to escalate? Do you specialize in Global Markets Compliance Advisory? We are looking for someone to help: provide independent and timely guidance to the business and other functions on all issues relating to day to day business, new business initiatives, regulatory developments and transactions undertaken by clients • assess regulatory requirements (e.g.: ASIC / ASX / Cboe) to ensure compliance risks are identified, reported and tracked to their resolution • analyse processes and systems and provide guidance to relevant stakeholders on the implementation of improved solutions that support business and mitigate compliance risk • liaise with internal auditors on various requests in relation to compliance matters • draft and deliver face to face training to the business • review manuals and compliance notices to ensure they are properly revised or updated where necessary • draft new manuals, Compliance Notices, policies and procedures in light of regulatory amendments and/or business changes • work with other members of the Compliance and Operational Risk Control team, locally and regionally to support the Compliance Framework • Respond to regulatory queries • Perform local read across thematic reviews and assist with similar global reviewShow more Business Aligned Compliance & Operational Risk Officer