Senior Regulatory Reporting Analyst - F/S
- Contract
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Job Description
Title: Senior Analyst – Regulatory Reporting
Location: Dublin (Working remotely initially)
Duration: 6 Month Contract (View to extend)
*Due to the job nature of this team, there is a requirement to cover public holidays throughout the year.
*Full training in the role will be provided
Overview:
Regulatory Reporting is one of the functions within the Asset Management Operations department, responsible for the identification, preparation and submission of position and transaction based regulatory reports in compliance with various regulatory requirements. The team are also assuming responsibility for the filing of the daily and periodic reporting required under a number of regulatory directives e.g. AIFMD, MiFIR, EMIR and the TD.
As a Senior Analyst you will be required complete daily regulatory submissions for EMEA and ASIAPAC based Post Trade Reporting regimes. In addition to this you will be required and assess major shareholdings of issuers or trading activity across the ASIA & EMEA jurisdictions and prepare appropriate disclosures as necessary. The candidate will also carry out related shareholder and other regulatory reporting filings relating to other regulatory directives and regulations.
- Responsible for the submission of regulatory reports to the relevant authority accurately and on a timely basis
- Responsible for the conducting of daily processes strictly following standard operating procedure and to a high standard
- Ensure that operational processes fit for purpose and controls are appropriate
- Assists in formulating and implementing new procedures to ensure operational effectiveness
- Actively engages in query management and break resolution in a timely manner, with both internal and external stakeholders
- Proactively identifies and communicates compliance and regulatory reporting issues via the appropriate channels
- Engaging with internal stakeholder to ensure all regulatory updates are captured for reporting and are compliant on all regulatory interpretations.
Skills & Experience:
- A good understanding of the financial services industry with specific focus on Derivatives
- Ideally will have a Middle Office/Trade Management background, with a working knowledge of Derivative Products (CFD, IRS, CDS, etc)
- High standard of accuracy and attention to detail.
- Strong communication skills and an ability to explain complex situations.
- Self-motivation with a diligent and detailed approach to prioritising and completing tasks
- Proficient in Excel
- Previous knowledge and experience of the following Reporting Regimes, EMIR, MiFID II, SFTR, MAS, ASIC, HKMA (Advantageous)
Feel free to reach out to discuss this opportunity further at lisa.durkan@harveynash.ie