Primary responsibilities include supporting the Group Regulatory Affairs & Compliance team in monitoring regulatory developments, assisting in compliance documentation, participating in internal compliance projects, and contributing to regulatory reporting and analysis across the organization.
Required experience involves being a student in a relevant academic program such as law, finance, or business administration, with strong analytical skills, attention to detail, and ability to work effectively in a professional team environment. Strong academic performance and interest in regulatory compliance are essential.
The role offers an exceptional learning opportunity at a world-renowned financial institution, providing exposure to complex regulatory landscapes, professional mentorship, potential networking opportunities, and practical experience that can significantly enhance future career prospects in compliance and financial regulation.