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Global Markets Regulatory Compliance Advisory - Americas


Vacancy details

General information

Entity

About Crédit Agricole Corporate and Investment Bank (Crédit Agricole CIB)

Crédit Agricole CIB is the corporate and investment banking arm of Crédit Agricole Group, the 10th largest banking group worldwide in terms of balance sheet size (The Banker, July 2022).
8,600 employees in more than 30 countries across Europe, the Americas, Asia-Pacific, the Middle-East and North Africa, support the Bank's clients, meeting their financial needs throughout the world.
Crédit Agricole CIB offers its large corporate and institutional clients a range of products and services in capital market activities, investment banking, structured finance, commercial banking and international trade.
The Bank is a pioneer in the area of climate finance, and is currently a market leader in this segment with a complete offer for all its clients.


For more information, please visit www.ca-cib.com

Twitter: https://twitter.com/ca_cib
LinkedIn: https://www.linkedin.com/company/credit-agricole-cib/

By working every day in the interest of society, we are a group committed to diversity and inclusion. All our positions are open to people with disabilities.   

Reference

2024-86500  

Update date

22/02/2024

Job description

Business type

Types of Jobs - Compliance / Financial Security

Job title

Global Markets Regulatory Compliance Advisory - Americas

Contract type

Permanent Contract

Job summary

Summary

Global Markets Regulatory Compliance (“GMRC”) Advisory – Americas Vice President is responsible for providing advisory on Broker Dealer and Swap Dealer regulations (including the global impact of relevant U.S. regulations) and internal policies and procedures to internal stakeholders, including trading and sales personnel and key support functions. 

 

Key Responsibilities:

·       Responsible for the ongoing development, implementation and refinement of a comprehensive compliance program

·       Coordinate compliance regulatory examinations and participate in the coordination of response to these examinations

·       Maintain policies and procedures to reasonably ensure compliance with applicable regulatory requirements (i.e., FINRA, SEC, NFA, and CFTC requirements)

·       Communicate new regulatory requirements simply and efficiently to affected business and other functions and stakeholders to ensure compliance

·       Continually assess the inherent risk of business units as well as the effectiveness of mitigating controls in order to minimize the residual risk of reputational damage, regulatory consequences and other operational risk through a surveillance and monitoring program

·       Design, implement and maintain Compliance systems to ensure consistency in achieving industry best practices and in minimizing regulatory risk

·       Provide advice on relevant regulations and internal policies and procedures to internal stakeholders including trading and sales personnel and key support functions

·       Evaluate new products and activities to ensure compliance issues are identified and remediated and assist in documenting GMRC evaluation based on appropriate regulatory requirements and Compliance risks identified 

 

 

Key Internal contacts

 

·       All Global Markets Division, Coverage and Investment Banking, Global Investment Banking business units;

·       Legal department;

·       Audit department;

·       Risk departments; and

·       Operations departments.

Key External contacts

 

The Firm’s regulators, including but not limited to FINRA, SEC, NFA, and CFTC requirements. 

 

Salary Range: $145k-175k

Position location

Geographical area

America, United States Of America

City

NEW YORK

Candidate criteria

Minimal education level

Bachelor Degree / BSc Degree or equivalent

Academic qualification / Speciality

Required: 

  • Bachelors Degree

Preferred: 

  • JD
  • Series 7 and Series 24 (or ability to obtain within the first year of employment).

Level of minimal experience

6-10 years

Experience

  • 6- 10 years prior compliance advisory experience, including interaction with US regulators.
  • Regulatory experience is a plus

Required skills

·       In-depth knowledge of the U.S. regulatory system in general and specifically knowledge of CFTC, NFA, FINRA, and SEC rules and regulations applicable to swap dealer and broker dealer

·       Knowledge of Capital Markets swap products and offerings, policies and procedures and business culture to reconcile regulatory needs with specific product and deliver channel needs.

·       Judgement in handling complex and highly confidential matters with unquestionable character, integrity and professionalism.

·       Capability to drive consensus and, where appropriate, to take a firm position even in the absence of broad-based support.

·       Analytical knowledge of complex products, issues and people and the mix of those, and the operational, financial, systemic and risk management processes around such products and offerings.

·       A mastery of applicable CFTC, NFA, SEC, and FINRA rules and regulations; exceptional reasoning and analysis skills; attention to detail; strong oral and written skills, resourcefulness, among other abilities.

Technical skills required

Working knowledge of all Capital Markets products, including but not limited to Foreign Exchange, Interest Rate Derivatives, and Fixed Income Securities, Fixed Income, Securities Lending, and Repurchase Agreement