Primary responsibilities include performing regulatory gap assessments, implementing roadmaps for new regulations, leading risk assessment campaigns, improving internal control designs, maintaining regulatory watch processes, and organizing workshops to identify compliance pain points and propose remediation strategies.
Required experience includes a master's degree in a relevant field, 5-10 years of consulting or risk and compliance experience in banking or payment industries, expertise in specific financial regulations like GDPR, ESG, MiFID, and strong analytical, communication, and problem-solving skills. Candidates must be detail-oriented, process-minded, and have excellent written and verbal communication abilities.
EY offers a dynamic work environment with extensive technical and soft skills training, flexible working arrangements, access to innovative technologies, and opportunities to build a successful career in a leading global professional services firm. The role provides professional growth, support from senior management, and a chance to work with a diverse team of financial services professionals.