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Vice President, Regulatory Processes

Posted 3 days 9 hours ago by MUFG Bank, Ltd

Permanent
Full Time
University and College Jobs
England, United Kingdom
Job Description
Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world's leading financial groups. Across the globe, we're 150,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.With a vision to be the world's most trusted financial group, it's part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.Join MUFG, where being inspired is expected and making a meaningful impact is rewarded. OVERVIEW OF THE DEPARTMENT/SECTION The Regulatory Processes Team is responsible for the management and coordination of Core Compliance processes which have broad relevance across or between teams.This includes:• Production of Core Compliance Management Information for Governance Forums• Coordination of the Compliance Risk Assessment process• Breach Management• Regulatory filings• Individual regulatory license regimes:o UK Senior Manager and Certification Regime administrationo US SEC (SBSD)/CFTC (SD) Swap Associated Persons Designation administrationo US SEC 15a6 approval administration• Annual Fitness and Propriety Assessment Processes for Senior Manager, Certified Persons and Conduct Staff• Compliance Training framework development and maintenance• Compliance Policy framework development and maintenance• Management of the firm's offshore regulatory licences and management of waivers• Maintenance of regulatory waivers and exemptions MAIN PURPOSE OF THE ROLE The main purpose of the role is to: Perform key Regulatory Processes - Compliance functions to ensure that the processes within its remit run effectively and efficiently Propose and implement process improvements Ensure appropriate documentation of risks, controls and processes, working with Audit, Risk and other stakeholders as appropriate KEY RESPONSIBILITIES You will be a key team player within the Regulatory Processes Team, taking appropriate action for the delivery of your duties, including: Responsibility for the production of management information + Undertake the creation of management information for both local and functional reporting within the required timelines + Understand the status on project/initiatives, regulatory communication, issues, areas of increasing risk amongst others from across the compliance department. + Collate input from multiple teams and senior management + Identify and provide areas of improvement in the MI production process Responsibility for compiling the information regarding the semi-annual Compliance Risk Assessment + Managing and compiling information across EMEA on individual elements of the risk assessment + Preparing narrative in relation to the risk assessment scores + Ensuring reports are completed accurately and on time, and cascaded to key stakeholders in Head Office + Identifying areas for improvement in the consolidation process Responsibility for Breach Management + Undertake the preparation of metrics and reporting of breaches to Compliance Management. + Identify areas for improvement in the breach management process Provide support and assistance where required for timely submission of Regulatory Returns for which Core Compliance is responsible + Submit periodic and ad-hoc returns to regulators in line with required timeframes and deadlines + Maintain a schedule of periodic regulatory returns due + Manage communication with regulators on specific issues relating to returns + Liaise internally to obtain information from other departments in order to be able to make filings in a timely manner Provide support and assistance where required for regulatory license regimes + Conducting Annual Certification Process and Fit and Proper assessment for SMCR Certified Persons and Senior Managers + Ensuring that staff are appropriately certified in line with the requirements of the UK Certified Persons regime + Ensuring that the FCA Directory is updated as required within regulatory timescales + Running reconciliation processes across all licensing regimes + Ensuring that staff in scope of the US Swap Associated Persons regime and 15-a6 regime are identified and registered appropriately with the US regulators Provide support and assistance where required for the annual Swap AP Fitness and Propriety assessment and Declaration Processes. + Ensuring that the F&P process for Conduct staff runs smoothly and is completed on time Provide support and assistance where required for the maintenance of the Core Compliance Policy framework + Reviews / updates to the Core Compliance policy and procedure documents for London and MUS(EU), as well as the MUS International policies owned by Compliance + Managing the process of socialisation of policy changes / new policy with stakeholders across the business, EMEA and International offices, GCD, MUSHD and other Tokyo stakeholders. This includes the management of the governance structure for Policy approvals Provide support and assistance where required for the maintenance and implementation of the Core Compliance Training framework + Development and approval of the annual EMEA-wide Core Compliance training needs assessment and associated training plan, including socialization and coordination with all EMEA offices and Tokyo. + Development and maintenance of Core Compliance training materials + Managing the rollout of training across all EMEA offices using the internal programme (LEAP) (and where applicable MUS Asia) + Completion monitoring and follow up / escalation for Core Compliance training issued across London, MUS(EU) and MUS DIFC Provide support and assistance where required on the regulatory waivers and exemptions application processes. + Prepare waiver/exemption application forms when required. + Maintain up-to-date log with all open waivers/exemptions + Monitor existing waivers and exemptions, to make sure we apply for extension when Provide support and assistance where required on the offshore license payment and maintenance processes. + Manage MUFG Securities offshore licences, including any payments that need to be made as a result of holding a licence Implementing continuous improvement within the remit of the Regulatory Processes team.This list of responsibilities is expected to change over time as the Regulatory Processes Team evolves. SKILLS AND EXPERIENCE Functional / Technical Competencies: Essential Ability to manage complex processes Ability to identify inefficiencies and improve processes Ability to work on multiple high priority items together Prior experience in a task-oriented team working to multiple deadlines Strong attention to detail Proficient in Excel, Word and PowerPoint Strong team player, willing to work in a collaborative, constructive and proactive manner with colleaguesDesirable Knowledge of MI and metrics creation Knowledge of compliance risk assessment processes Knowledge of UK and US regulatory filings Good communication skills with a sense of empathy Education / Qualifications: University degree or equivalent PERSONAL REQUIREMENTS Excellent communication skills Results driven, with a strong sense of accountability A proactive, motivated approach. The ability to operate with urgency and prioritise work accordingly Strong decision-making skills, the ability to demonstrate sound judgement A structured and logical approach to work Strong problem-solving skills A creative and innovative approach to work Excellent interpersonal skills The ability to manage large workloads and tight deadlines Excellent attention to detail and accuracy
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