Primary responsibilities include managing regulatory topics for investment products, actively contributing to product vision, conducting regulatory requirement analyses, performing gap analyses, coordinating with compliance and legal departments, creating technical and IT requirements, and managing implementation across sales, operations, and IT teams.
Required experience includes a completed university degree in business administration, economics, or law, extensive professional experience in financial services, particularly in financial market regulation and securities services. Candidates must have strong project management skills, interdisciplinary team experience, and proven ability to work across business, compliance, legal, operations, and IT interfaces.
The role offers a secure workplace in a growth-oriented international company with exciting career development opportunities, comprehensive onboarding, flexible work arrangements, extensive annual leave, competitive compensation, additional benefits like health vouchers, gym passes, job ticket subsidies, and a supportive team environment that values professional growth and work-life balance.