Regulatory Compliance Officer
Deutsche Börse Group
Luxembourg, L, LU
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Field of activity

You are working in our team of regulatory specialists who are taking care on various topics related to the supervision of the companies of Deutsche Börse Group by various national and international supervisory bodies domestic and abroad.

The companies of Deutsche Börse Group are subject to a multitude of regulations of various countries in their capacities as financial market infrastructures, credit institutions or investment firms.

Located in Luxembourg you will manage the day-to-day fulfilment of regulatory obligations and channel the dialogue with the regulators and supervisors of the group.

You will contribute to the analysis of the regulatory requirements in Luxembourg.

In addition, you will be involved in the analysis of new supervisory regulations and their implementation within the Clearstream Sub-

Group as well as support the analysis of special regulatory topics. In a dynamic environment with growing regulatory challenges as well as product and process innovations, you will be a linking pin between business units and supervisors from the point of development through to the practical implementation both in the business areas and among colleagues in the compliance function.

You as a dedicated specialist will support (executive) management in all questions of regulatory supervision especially focussed on Financial Market Infrastructures with a dedicated focus on Central Securities Depositories.

Tasks / responsibilities

  • Management of the day-to-day relationship with various (international) supervisory authorities of the Clearstream group
  • Analysis of new supervisory regulations and management of implementation of those at the various companies of Clearstream Group
  • Analysis of individual supervisory topics of various kinds
  • Consultancy / support of projects / initiatives with relation to regulatory topics
  • Qualifications / required skills

  • University degree in business administration or economics majoring in banking or a university degree in law with a focus on capital markets / banking law or similar qualifications
  • Minimum 3 years of practical experience on regulatory topics in the finance industry or in auditing of banks
  • Alternatively : Examination as a banking clerk and at least 5 years of experience in regulatory matters
  • Good knowledge of regulatory regulations and experience in the interaction with (banking) regulators; dedicated knowledge on Financial Market Infrastructure rules like CSD-
  • regulation and CPSS-IOSCO principles on Financial Market Infrastructures is an asset

  • Ability to work in a team and in a matrix organisation within a multicultural and multi-location, international environment
  • Very good English and French language skills in both speaking and writing
  • Dedication, team and communication skills, flexibility as well as competent handling of MS Office applications round out your profile.

    There are numerous good reasons to work for us : responsibility at an early stage, attractive social benefits, an international working environment and a broad variety of career opportunities.

    Applications from disabled persons are welcome.

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