- Bachelor Degree
Master Degree preferred
J.D. or equivalent education; Admission to New York state bar
- Minimum 5 to 7 years of experience in a regulatory agency, a comparable banking organization or law firm working on Banking or Capital Markets regulatory topics
- Experienced in understanding rules and regulations, regulatory guidance, rulemaking comments, and industry practices and effectively communicate to internal stakeholders
- Strong understanding of regulatory change management process and best practices
- US Markets Regulations (SEC, FINRA, CFTC, NFA) and/or Banking Regulations (FRB, NYDFS, OCC)
- Strong analytical and communication skills required as well as the ability to work autonomously and to cooperate/work effectively across all disciplines in the bank.
- Capable of leading multiple and simultaneous ad-hoc requests
- Strong analytical skills and a capacity to translate technical and complex issues in a straightforward manner for broader audiences
- Result-oriented: setting goals and priorities that maximize the use of resources available to consistently deliver quality results.
- Knowledge of and experience in the main activities of corporate and investment banking services such as commercial financing, debt and equity capital markets, merger and acquisitions services, derivatives and secondary markets, structured finance, trade finance, etc.
Fluent in English (written and spoken). French preferred