What are the responsibilities and job description for the Senior Regulatory Compliance Executive position at Deriv?
As a Senior Regulatory Compliance Executive at Deriv, you’ll be at the forefront of our compliance efforts. You’ll join a dedicated regulatory team in the Group’s compliance department, which looks after multiple aspects related to financial and banking regulation. Your particular focus will be on investment services regulation surrounding CFDs. In a dynamic environment with growing regulatory challenges and product and process innovations, you’ll be an essential part of business units, identifying relevant regulatory changes in time and initiating necessary measures to accommodate them.
Furthermore, your role will entail the identification of emerging compliance trends and evaluating the need for enhanced compliance engagement in specific areas. Your task will involve effectively managing risks associated with non-compliance. Ready to take the lead and shape our compliance future at Deriv? Join us! (Note: While this role operates within the compliance department, your responsibilities do not encompass anti-money laundering (AML)-related tasks.)
Your Responsibilities
Furthermore, your role will entail the identification of emerging compliance trends and evaluating the need for enhanced compliance engagement in specific areas. Your task will involve effectively managing risks associated with non-compliance. Ready to take the lead and shape our compliance future at Deriv? Join us! (Note: While this role operates within the compliance department, your responsibilities do not encompass anti-money laundering (AML)-related tasks.)
Your Responsibilities
- Monitor regulatory developments at the international, EU, and countries where the Group companies operate or plan to operate.
- Analyse new regulatory requirements with a particular focus on investment services regulation.
- Create, maintain, and implement compliance-related policies, conduct internal compliance reviews, and perform legislative gap analysis.
- Execute the compliance monitoring programmes in a timely manner.
- Support the implementation and monitoring of internal controls to ensure compliance with regulatory requirements and facilitate internal and external audits.
- Prepare management presentations and communication on regulatory developments and potential challenges to management and affected business areas.
- Submit regulatory reports mainly related to CRS, FATCA, MiFIR, and EMIR.
- Collaborate in reviewing and assessing compliance business risk assessments.
- Perform general administrative duties and any other duties and responsibilities as required ancillary to the role.
- 5 years of experience in regulatory compliance, audit, or risk function
- Undergraduate degree in legal, compliance, or related fields
- Knowledge of investment services regulations
- Strong interpersonal skills and the capability to work with all levels of personnel with a high degree of integrity and maturity
- Ability to manage multiple projects with tight deadlines
- Excellent spoken and written English communication skills
- Work experience in a fintech organisation
- Experience in European regulatory compliance projects
- Market-based salary
- Annual performance bonus
- Casual dress code
- Medical allowance
- Travel and internet allowances
- 25 days of leave
- Training sessions and webinars to help you advance your career
- Intensive and interesting onboarding programme for newcomers
- A chance to work with top talent from across the globe (70 nationalities)
- Ample team-building and bonding activities
- Great overseas travel opportunities
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