Prudential Compliance Professional

Details of the offer

At U.S. Bank, we're on a journey to do our best. Helping the customers and businesses we serve to make better and smarter financial decisions, enabling the communities we support to grow and succeed in the right ways, all more confidently and more often—that's what we call the courage to thrive. We believe it takes all of us to bring our shared ambition to life, and each person is unique in their potential. A career with U.S. Bank gives you a wide, ever-growing range of opportunities to discover what makes you thrive. Try new things, learn new skills and discover what you excel at—all from Day One.
As a wholly owned subsidiary of U.S. Bank, Elavon is committed to building the platforms and ecosystems that help over 1.5 million customers around the world to achieve their financial goals—no matter what they need. From transaction processing to customer service, to driving innovation and launching new products, we're building a range of tailored payment solutions powered by the latest technology. As part of our team, you can explore what motivates and energizes your career goals: partnering with our customers, our communities, and each other.
Job DescriptionPrudential Compliance Professional The successful candidate will be an integral part of the Prudential Compliance team and be responsible for monitoring current compliance requirements and identifying & implementing upstream prudential regulatory requirements and licensing conditions within Elavon Financial Services DAC ("EFS").
This role is a 'controlled function' as defined by the Central Bank Reform Act 2010 Regulations 2011.
Principal Accountabilities: Implement EFS's Risk Management Framework as it pertains to prudential requirements, including providing oversight and challenge in a second line of defence role. This includes day-to-day monitoring in addition to periodic artefact reviews such as ICAAP, ILAAP, Recovery Plan, Wind Down Plan and EMIR/Pillar 3 Disclosures.Ensuring compliance with EFS's prudential requirements (e.g., Capital Requirements Directive, Capital Requirements Regulation, the Bank Recovery and Resolution Directive). Lead EFS's annual Prudential Risk Assessment and report outputs through EFS's Committee governance.Ensuring compliance with other regulatory requirements such as European Markets Infrastructure Regulation and Securities Financing Transaction Regulation.Provide practical and technical expertise to Senior Management on how to enhance EFS's compliance with prudential requirements.Participate in U.S. Bank Second Line of Defence programmes including regulatory change and new product development. Current expectations include "Basel III endgame" and other U.S. Bank / EFS strategic initiatives.Preparation and presentation of Committee materials on behalf of the Prudential Compliance team.Encourage and support the professional development of other members of the Prudential Compliance team.Competencies for your role: Drive for Results: Pursues goals with energy and perseverance; rarely gives up before succeeding; works to overcome barriers and challenges in order to produce desired results; can be counted on to achieve or surpass goals; consistently a top performer among peer group.Collaboration: Develops good working relationships with others; recognizes and values differences; encourages an inclusive collaborative environment and open dialogue; puts team's goals ahead of personal agendas; shares information openly and transparently; openly supports team members and their efforts.Agility & Innovation: Demonstrate flexibility in dealing with fast-changing priorities, and different or challenging situations. Help others to continuously improve and achieve results. Explore multiple solutions to overcome obstacles. Anticipate future needs that may affect the team or organization.Talent Development & Engagement: Provides others with a clear direction; Sets appropriate standards of behaviour; Delegates work appropriately and fairly; Motivates and empowers others; Provides staff with development opportunities and coaching; Recruits staff of a high calibre.Risk Management: Appropriately identify and manage risks, in compliance with applicable laws, rules and regulations, and with Company Policy.Ethics & Trust: Maintain high ethical standards; gain the confidence and trust of others through honesty, integrity and authenticity. Conducts him or herself honestly and ethically; adheres to a core set of values and standards appropriate to the situation and acts accordingly; is consistent in own words and actions; inspires trust and respect by dealing openly with people; keeps confidences and admits mistakes.Qualifications / Knowledge and Experience: Experience/Qualifications: Minimum 5 years financial services experience in Financial Services, preferably in a compliance and/or risk related role.Professional qualifications in accountancy, compliance or risk management would be beneficial.Knowledge of existing EU (inc. Basel) banking regulation and upstream changes (e.g., "Basel III endgame") would be an advantage.Skills/Disposition: Ability to interpret regulatory publications and disseminate for others in the form of written memos, verbal updates and presentations.Ability to operate in a matrix organisation, build relationships and communicate effectively.Both a self-starter and have the ability to work as part of a team.Ability to adapt to changes in priorities and timelines.Proficient at Microsoft Office.The role offers a hybrid / flexible schedule, which means there's an in-office expectation of 3 or more days per week and the flexibility to work outside the office location for the other days.
This position is not eligible for visa sponsorship.

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