We are seeking a highly analytical and detail-oriented Regulatory-related Projects Manager with a strong legal background to join our global regulation team. In this role, you will be a key driver in ensuring our multi-jurisdictional operations remain compliant with evolving CFD and futures regulations. You will manage the lifecycle of regulatory projects, oversee critical document updates (User Agreements/Terms & Conditions), and handle complex client escalations. The ideal candidate blends legal expertise with a “hands-on” approach to project implementation and data analysis.
Key Responsibilities
- Regulatory Project & UA Management
- User Agreement (UA) Lifecycle: Lead the drafting, review, and global rollout of updates to User Agreements and Terms of Business. Ensure alignment with new laws across various jurisdictions (FCA, CySEC, ASIC, FSCA, etc.).
- Regulatory Implementation: Translate new regulatory requirements (e.g., DORA, Consumer Duty, DDO, MIFID) into actionable operational projects. Coordinate with Product, R&D, and Marketing teams to ensure systems are updated by the enforcement deadlines.
- Product Governance: Monitor the regulatory development globally, translate the requirements to operative instructions, ensuring legislation is correctly applied.
- Analytical Compliance & Reporting
- Data Analysis: Monitor compliance KPIs and Funnel to identify friction points or potential regulatory breaches in the onboarding funnel.
- Reporting: Assist the CRO in preparing the periodical Reporting Pack for the Board of Directors, providing insights into global regulatory trends and audit statuses.
- Gap Analysis: Conduct periodic “Health Checks” on internal policies against international standards (IOSCO/ESMA) to identify and remediate compliance gaps.
- Client Relations & Dispute Resolution
- Advanced Complaints Handling: Manage escalated client complaints that involve regulatory interpretations or potential ombudsman (FOS/FOI) involvement.
- Regulatory Liaison: Assist in drafting formal responses to Requests for Information (RFIs) and audit findings from global regulators.
Requirements:
Educational & Professional Background
- Legal Degree (LL.B. or LL.M.): Mandatory. A strong foundation in contract law and financial regulations is essential.
- Experience: 3–5 years of experience in Financial Services Compliance, preferably within the CFD/FX or Fintech industry.
- Certifications: Professional certification in Compliance (e.g., ICA Diploma, CISI, or CAMS) is highly preferred.
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