Bank of Ireland

Compliance Manager

Dublin, Ireland
18 Oct 2021
01 Nov 2021
Approved employers
Approved employer
Contract type
Full time
Experience level

Division Description

Group Risk guides the Group in its definition and articulation of risk appetite and provides strong independent oversight and management of the Group's risk profile, as the Group fulfils its Purpose to enable our customers, colleagues and communities to thrive and pursues its Ambition to be the National Champion Bank in Ireland and selective international diversification. As the Group progresses its Strategic Priorities to Serve customers brilliantly, Transform the Bank and Grow sustainable profits the Group Risk adopts the philosophy that great customer outcomes and great risk management are intrinsically linked through culture. The Function maintains a robust risk culture, in support of the Group's strategic goals, by ensuring that the appropriate structures, systems, policies and controls are in place to provide effective management of risk. Group Risk strives to support the Group in optimising returns over the longer term through robust and value adding risk management. The Functions ambition is to ensure that Group Risk is an enduring source of strategic advantage to the Group.

Working at Bank of Ireland doesn't have to mean working in an office to have an impact. Our commitment to enabling colleagues to thrive means that depending on role type you can have choice and flexibility in where you work and live, subject to your role, customer needs and our requirements. We have a hybrid working model, with home, agile hub and office based options available. We will always list a primary location which can be where you go for in person collaboration, and a location where you can best perform your role.

Please note you must live in the jurisdiction for the business to which you are contracted.

This job can be done anywhere in the ROI with the primary office location as Dublin to which travel will be required for in person collaboration. Exact frequency to be agreed with manager.

Description of business unit

Group Compliance has overall responsibility for the identification, management and escalation and reporting (as appropriate) of the Group's regulatory and conduct risks. Our goal is to provide support and challenge ensuring the management and mitigation of regulatory and conducts risks within an agreed risk appetite.

Purpose of the Role

The manage teams central mailbox and to provide compliance support, guidance and oversight to the Corporate Banking & Markets division.

Key Accountabilities

  • Management and operation of the Corporate Banking & Markets mailbox including the prompt logging and allocation of all requests received into the mailbox to ensure the team responds in a timely manner.
  • Provide advice and guidance on regulations and compliance policies to applicable to the Corporate Banking and Markets division, including guidance relating to:
    • Marketing material and product collateral.
    • The application of conduct / customer related regulatory codes, regulations and standards.
    • Product development / change.
    • Training materials.
  • Review and challenge of risk assessments; decision groups and forum papers; etc.
  • Develop and foster strong relationships with other Group Compliance teams to enable effective and proactive oversight of the Corporate Banking and Markets division.
  • Escalate any new/emerging regulatory and conduct risks or concerns, to the Head of Compliance, Corporate Banking & Markets, for consideration and investigation.
  • Escalate any concerns observed in relation to the management of conduct and regulatory risk in Corporate Banking & Markets and escalating matters as appropriate to the Head of Compliance, Corporate Banking & Markets.

What is the opportunity

The opportunity is to become a member of the Corporate Banking & Markets Compliance team, tasked with managing the teams' central mailbox, and supporting and guiding the Corporate Banking & Markets division manage their regulatory and conduct risks.

Essential Skills & Experience

  • Previous experience in similar role (or in a risk management / audit environment) with risk management knowledge in financial services.
  • Evidence of strong regulatory compliance and interpretation skills, methodologies, tools and practices, and business processes.
  • Knowledge of regulatory and legal environment in which the Group operates.
  • Ability to articulate and communicate ideas clearly and concisely, both verbally and in writing, to a range of stakeholders.
  • Ability to challenge constructively, combined with a solutions focused approach.

Desirable Qualifications, Skills & Experience

  • Experience in Corporate Banking and / or Global Markets
  • Experience in review of marketing collateral in line with regulatory requirements.

Key Competencies

  • Manage Risk - Self
  • Customer Focused - Self
  • Agile - Self
  • Accountable - Self
  • One Group, one team - Self

Where Agency assistance is required Bank of Ireland Recruitment Team will engage directly with suppliers. Unsolicited CVs / profiles supplied to Bank of Ireland by Recruitment Agencies will not be accepted for this role.

Bank of Ireland Group is an equal opportunities employer and is committed to fostering an inclusive workplace which values and benefits from the diversity of our workforce.

For further information, and to apply, please visit our website via the “Apply” button below.

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