Regulatory Compliance Officer Resume Samples
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Regulatory Compliance Officer Resume Samples
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SZ
S Ziemann
Sean
Ziemann
77919 Torey Terrace
Boston
MA
+1 (555) 768 3212
77919 Torey Terrace
Boston
MA
Phone
p
+1 (555) 768 3212
Experience
Experience
San Francisco, CA
Regulatory Compliance Officer
San Francisco, CA
Becker, Grimes and McKenzie
San Francisco, CA
Regulatory Compliance Officer
- Assisting the Head of Regulatory Counsel with the coordination of the development and maintenance of compliance policies and procedures for the EMEA region
- Represent QA on development projects and process improvement initiatives
- Issuance of applications in company’s internal system to generate (new) codes for supply chain management
- Work on product renewals and deficiency letters
- Assisting the Head of Regulatory Counsel with regards to all licensing issues in relation to the firm�s UK and EMEA legal entities
- Providing site regulatory assessment on Change Control, process deviations & ongoing projects. Answering site Regulatory queries
- Proactive co-ordination of the QA Compliance Systems such as Deviations/CAPA, Change Control, Customer Complaints, Internal Audits, Vendor management
Boston, MA
Singapore Regulatory Compliance Officer
Boston, MA
Jacobson Inc
Boston, MA
Singapore Regulatory Compliance Officer
- Primarily responsible for data retrieval, analysis and compilation of information for regulatory enquiries from Monetary Authority of Singapore, Inland Revenue of Singapore, Commercial Affairs Department as well as foreign regulators
- Maintain database of regulatory enquiries, due diligence conducted for internal reporting
- Assist / participate in regulatory inspections, industry consultations and other ad hoc regulatory projects
- Provide ad hoc regulatory compliance advisory to internal stakeholders such as Front Office, Middle Office and other internal departments
- Assist and conduct reviews as part of the Monitoring, Surveillance and Assurance team
- Maintain a strong and transparent communication channel with the MAS demonstrating solid concepts of corporate governance and sound risk management practices
- Coordinate inputs for regulatory queries from businesses and shared services
present
Houston, TX
Senior Regulatory Compliance Officer
Houston, TX
Blick Group
present
Houston, TX
Senior Regulatory Compliance Officer
present
- Perform daily Regulation W/O activities such as evaluation of routine affiliate transactions and insider lending
- Lead working groups on critical Regulation W/O projects
- Perform detailed analyses of complex affiliate transactions involving the global institution and worldwide affiliates
- Completes internal testing of department documentation and research for data integrity, consistency in work product and adherence to Company policies and procedures. Maintains constant awareness of new and amended regulations and assesses their impact on assigned areas. Assists in implementing changes to products, services, systems and operations to maintain compliance
- This role will have compliance adherence responsibility driven by the line of business supported. This position supports the following lines of business, including but not limited to
- Assists in monitoring compliance in the assigned line of business including the identification of regulatory and operational risks and controls to mitigate risks. Works with business management in projects affecting assigned line of business and/or area of regulatory specialization (including system testing)
- Design new processes to improve efficiencies and mitigate Regulation W/O risk
Education
Education
Bachelor’s Degree in Business
Bachelor’s Degree in Business
Florida International University
Bachelor’s Degree in Business
Skills
Skills
- Strong ability to manage, facilitate and prioritise work projects
- Ability to multi-task while maintaining careful attention to detail
- Strong presentation skills/Advanced Power Point / Excel
- Strong oral and written communication
- Working knowledge of the Investment Advisers Act of 1940
- Accuracy and attention to detail in presentations and publication of reports to a senior audience
- Ability to work effectively both individually with little direct supervision and within a team environment
- Ability to maintain confidentiality concerning sensitive confidential client information
- Ability to work with a sense of urgency to meet deadlines and address competing priorities
- In-depth understanding of applicable SEC rules and regulations
15 Regulatory Compliance Officer resume templates
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1
Gf-south Asia Regulatory Compliance Officer Resume Examples & Samples
- Providing proactive and effective compliance advisory support to the private banking business involving South Asia, with a primary focus on the activities conducted out of Singapore
- Coordination with Country Compliance Officer to provide compliance coverage for the onshore platform in India
- Building effective relationships with regulators and managing regulatory reporting, onsite audits and regulatory enquiries, in coordination with the respective Country Compliance Officers
- Developing and implementing compliance programs to analyze, monitor and control regulatory risks
- Working closely with business, control functions, and other compliance teams on delivery of compliance projects and implementation of regulatory initiatives
2
Assistant VP Senior Regulatory Compliance Officer Resume Examples & Samples
- Sets priorities and makes day-to-day decisions independently. Escalate matters to senior management as needed
- Under the direction of a more senior officer, may servce as a subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US
- Articulates any control weaknesses and status of plans to address these across HNAH. Initially, this information will be part of the RCR Controls remediation Project for each regulation
- 3-5 years proven and progressive financial services, compliance and/or legal management experience, or equivalent
- Broad scope of knowledge of assigned businesses, including products, operations, systems and organization and thorough understanding of significant regulatory compliance requirements applicable to assigned business(es)
3
Avp-banking Regulatory Compliance Officer Resume Examples & Samples
- Maintains knowledge of and acts in conformance with HSBC internal control standards
- Depending on the individual role, required professional certification (e.g., CAMS, CANNON Trust, CISA, CRCM, CCRP, CIA, CFSA, CPA, etc.) is desired
- Strong communications, analytical, organizational, and planning skills
4
Regulatory Compliance Officer Resume Examples & Samples
- Makes day-to-day decisions with direct supervision. Escalate matters to management as needed
- Strong Analytical skills required
- Proficient in use of Microsoft Excel, Word and Powerpoint
- Ability to work in a high pressure environment and prirotize to meet deadlines
- Diligent and pro-active approach, must take initiative, be a self starter, and have a high energy level
- Strong analytical skills, pro-active approach, forward thinking
5
Avp Senior Regulatory Compliance Officer Resume Examples & Samples
- Assists management in articulating any control weaknesses and status of plans to address these across HNAH. Initially, this information will be part of the Regulatory Controls Review (RCR) Controls Remediation Project for each regulation
- This role typically reports to a VP or SVP level regulatory compliance officer. In some cases, this role may report to an AVP Manager Regulatory Compliance Officer
- Broad scope of knowledge of assigned businesses, including products, operations, systems, and organization and thorough understanding of significant regulatory compliance requirements applicable to assigned business(es)
6
Regulatory Compliance Officer Resume Examples & Samples
- Regulatory Counsel is responsible for a number of areas of regulatory compliance within the firm. These include
- Supporting the EMEA Compliance Department�s regulatory advisory function
- Assisting the Head of Regulatory Counsel with the coordination of the development and maintenance of compliance policies and procedures for the EMEA region
- Supporting those functions within the firm who are tasked with the day-to-day operation of the firm�s systems and controls as they relate to Transaction Reporting, with escalation to the Head of Regulatory Counsel
- Supporting those functions within the firm who are tasked with the day-to-day operation of the firm�s systems and controls as they relate to Client Money and Custody, with escalation to the Head of Regulatory Counsel
- Assisting the Head of Regulatory Counsel with regards to all licensing issues in relation to the firm�s UK and EMEA legal entities
- Producing management information and key performance and risk metrics to keep the Head of Regulatory Counsel and senior management within the firm informed of key issues and risks which are specific to your area of responsibility
- Escalation to the Head of Regulatory Counsel of any significant issues relating to compliance with applicable regulatory requirements and the firm�s Compliance policies and procedures which are relevant to your area of responsibility
- Regularly attend courses and seminars to keep up to date with regulatory, market and product developments as appropriate
- Understand and keep up to date with the firm�s business, products and the regulatory and commercial environment in which it operates to ensure that appropriate compliance policies, procedures and standards are implemented
7
Avp Senior Regulatory Compliance Officer Resume Examples & Samples
- Listens to, and reviews, telephone conversations for potential inappropriate behaviors
- Plays a key role in developing the voice surveillance program within HSBC
- Excellent understanding of multiple products, trading floor languages, and benchmark setting processes
8
AVP, Senior Regulatory Compliance Officer Resume Examples & Samples
- Provides support to ensure business lines appropriately incorporate change to align with new or revised regulatory requirements. Supports business lines and Local Compliance Officers in development of solutions to ensure compliance with assigned regulation(s), regulatory requirements, and/or compliance risks
- Helps to ensure future business growth is attained in a responsible and conscientious fashion while the operation remains regulatory compliant and commercially sound
- Role Context The AVP Manager will be part of the Markets Surveillance program within U.S. Global Banking & Markets. They will be responsible for implementing and undertaking surveillance of electronic and audio communications which have taken place within a trading floor environment
- Performs daily monitoring of electronic communication and audio data searching for potential misconduct or inappropriate behavior
- Uses banking and markets background to detect evidence of wrongdoing and has the ability to escalate and articulate matters to stakeholders
- Undertakes basic regulatory reporting responsibilities through Electronic Bluesheet submissions, escalations and follow up
- Is knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Provides support to ensure remediation efforts are on track for assigned regulation(s), regulatory requirements and/or compliance risks
- Minimum of three to five years proven and progressive financial services, compliance and/or legal management experience, or equivalent
- Well-developed communications, analytical, organizational, and project management skills
9
Regulatory Compliance Officer Resume Examples & Samples
- Knowledge of data mining algorithms and statistics a plus
- In-dept knowledge of tools like Minitab, R, or SAS a plus
- Knowledge in developing, designing and implementing data mining models using ordinary linear regression, logistic regression and ANOVA a plus
- Integrate models in Fair Lending Investigation and Research and ensure to share findings with internal and external FRBC team a plus
10
Senior Regulatory Compliance Officer Resume Examples & Samples
- Card Services
- Completes internal testing of department documentation and research for data integrity, consistency in work product and adherence to Company policies and procedures. Maintains constant awareness of new and amended regulations and assesses their impact on assigned areas. Assists in implementing changes to products, services, systems and operations to maintain compliance
- Minimum of five years proven audit, compliance, financial services operations and/or regulatory experience, or equivalent
- Thorough knowledge of products, services, operations and systems and extensive dealing with laws, regulations and regulatory agencies related to assigned areas
11
Singapore Regulatory Compliance Officer Resume Examples & Samples
- Primarily responsible for data retrieval, analysis and compilation of information for regulatory enquiries from Monetary Authority of Singapore, Inland Revenue of Singapore, Commercial Affairs Department as well as foreign regulators
- Investigate and review regulatory enquiries to assess whether there was any suspicious activity that requires internal or regulatory escalation
- Maintain database of regulatory enquiries, due diligence conducted for internal reporting
- Assist / participate in regulatory inspections, industry consultations and other ad hoc regulatory projects
- Provide ad hoc regulatory compliance advisory to internal stakeholders such as Front Office, Middle Office and other internal departments
- Assist and conduct reviews as part of the Monitoring, Surveillance and Assurance team
- Background from either Private Bank, Audit Firms (Big 4) or SG regulatory bodies
- Good IT, numeracy, data analytical, detailed skills
- Able to work independently, multi-task and under pressure to meet tight deadlines
12
Regulatory Compliance Officer Regulatory Reform Strategy Group Resume Examples & Samples
- Developing a robust global compliance program for the bank's securities-based Swap Dealers, including assisting the bank’s Chief Compliance Officers (CCO) in satisfying their duties and responsibilities under new and pending SEC rules
- Recommending and implementing enhancements to the Swap Dealer compliance program and related policies/procedures as needed on an ongoing basis
- Assisting with annual gap analyses to identify and update all impacted bank policies globally based on new swap reform regulations, including CFTC, NFA and SEC regulations
- Assisting with the development and implementation of policies/procedures as necessary to comply with international regulation applicable to the bank's swap activities in the US
- Developing and maintaining reports for review by senior management analyzing compliance issues, conflicts of interest or other matters including tracking status of issues disclosed in the annual reports
- Working with business management and compliance surveillance, testing, and audit staff on the development of Swap Dealer controls and surveillance
- Working with compliance training staff on the development and coordination of initial and ongoing training for employees on requirements impacting the Swap Dealer(s)
- Assisting with preparing the Annual Report for each Swap Dealer and any other required periodic reports that the CCO for these entities will be required to make to the governing body or relevant regulatory authorities
- Conducting additional CCO-related duties including ongoing maintenance of the Swap Dealer Manual, 4s submissions to the NFA, and other projects as directed by the Head of Regulatory Reform Strategy
- Assisting stakeholders across the bank in understanding proposed SD rules and associated obligations to inform the bank’s advocacy
- Graduate degree (e.g., JD or MBA)
- 5-10 years of compliance or regulatory experience, preferably with a federal regulator or self-regulatory organization, or in a law firm or trading environment
- Knowledge of Dodd-Frank/derivatives regulations
- Strong organizational skills and attention to detail
13
VP Regulatory Compliance Officer Resume Examples & Samples
- Serves as subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US
- Serves as the central point of contact for US Compliance and oversees the accuracy of the information regarding the regulation in the risk assessment tools while serving as the advocate for consistency of controls
- Is Knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Ensures remediation efforts are on track for assigned regulation(s), regulatory requirements and/or compliance risks
- Articulates any control weaknesses and status of plans to address these across HNAH. Initially, this information will be part of the Regulatory Controls Review (RCR) Controls Remediation Project for each regulation
- Typically works under the direction of the SVP Regulatory Compliance, but in some cases, may be the lead regulatory officer for assigned area
- Minimum 10 years proven audit, compliance, financial services and/or regulatory experience, or equivalent
- Well-developed managerial, communications, negotiation, analytical, interpersonal, organizational, project management and strategic and/or operational planning skills
14
AVP Regulatory Compliance Officer Resume Examples & Samples
- Completes deliverables as assigned to support internal customers such as RBWM, Institutional Fixed Income, Equities, US and Foreign Research, Futures, HSBC Bank USA N.A., AMUS, CMB and Foreign Affiliates. As necessary, provides support for these business units in their efforts to respond to external customers as state and regulatory agencies
- Identifies individual violations from a regulatory perspective and provides guidance towards a resolution which is supervised by the Manager
- This role reports to the VP Registration Manager
- Five to seven years proven and progressive regulatory compliance and/or legal management experience or equivalent
- Knowledge of regulatory state licensing and registration requirements a plus
- Strong communications, analytical, interpersonal, organizational, project management, document production and planning skills
15
Senior VP Regulatory Compliance Officer Resume Examples & Samples
- Ensures business lines appropriately incorporate change to align with new or revised regulatory requirements. Supports business lines and LCOs in development of solutions to ensure compliance with assigned regulation(s), regulatory requirements, and/or compliance risks
- Sets priorities and makes day-to-day decisions independently. Escalates matters to senior management as needed
- Serves as subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US. Serves as the central point of contact for US Compliance and oversees the accuracy of the information regarding the regulation in the risk assessment tools while serving as the advocate for consistency of controls
- Is knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Ensures remediation efforts are on track for assigned regulation(s), regulatory requirements, and/or compliance risks
- Articulates any control weaknesses and status of plans to address these across HNAH. Initially, this information will be part of the Regulatory Controls Review (RCR) Controls remediation Project for each regulation
- Minimum of 15 years proven and progressive financial services, compliance and/or legal management experience, or equivalent
- Well-developed managerial, communications, negotiation, analytical, organizational, project management, and strategic and/or operational planning skills
- Broad scope of knowledge of banking businesses, including products, services, and operations and full understanding of compliance requirements applicable to assigned regulation(s), regulatory requirements and/or compliance risks. Ability to proactively and effectively advise business lines on regulatory compliance
- Proficiency with personal computers, pertinent mainframe systems, and software packages (MS Office)
16
AVP, Bank Regulatory Compliance Officer Resume Examples & Samples
- Ongoing execution and administration of the compliance monitoring program including, but not limited to the timely execution of monitoring procedures, work paper compilation/review and reporting of results
- Assisting in the ongoing development, implementation and refinement of a comprehensive compliance program
- Conducting annual risk-assessments of banking laws and regulations in support of a risk-focused compliance monitoring and testing framework
- Conducting annual compliance policies and procedures reviews, including the development and implementation of new policies and procedures, as needed
- Overseeing the ongoing surveillance of employee personal trading activity including, but not limited to on-boarding of new employees, watch/restricted list maintenance, timely disposition of violations, reporting and maintenance of the surveillance system
- Assisting in the development, delivery and tracking of corporate compliance training
- Performing ad-hoc special projects assigned by the Chief Compliance Officer or Local Compliance Officer
- The ideal candidate should have 3-5 years of bank compliance experience
- Supervisory experience and audit background are a plus
- Knowledge of U.S. banking laws and regulations required
- Familiarity with Compliance Science’s - Personal Trading Control Center application is a plus
- Knowledge of commercial banking products and businesses
- Strong interpersonal and communication skills (verbal and written)
- Ability to work well independently or within groups
- Management of processes will require a “hands on” approach
- Ability to manage multiple tasks and deliver a quality work product
- Ability to quickly adapt to changing tasks and workload
17
Bank Regulatory Compliance Officer Resume Examples & Samples
- Familiarity with drafting management briefing documents and developing management reports
- Previous banking or compliance experience
- Audit and/or CPA firm experience a plus
- Bachelors Degree or higher education level of experience
18
Singapore Regulatory Compliance Officer Resume Examples & Samples
- Maintain a strong and transparent communication channel with the MAS demonstrating solid concepts of corporate governance and sound risk management practices
- Coordinate inputs for regulatory queries from businesses and shared services
- Provide day to day regulatory or compliance advice on relevant laws and regulations for shared services such as Finance, Operations, IT and Risk
- Monitor, assess, and advise on the implications of applicable new laws, rules and regulations, consultation papers and develop or update the relevant internal compliance policies as well as provide / coordinate training, where necessary
- Compile timely management information reports for the monitoring of key risk arising from Credit Suisse entities in Singapore
- Participate in various internal projects with related parties to drive compliance with regulatory requirement
- Escalate material legal, regulatory, reputational and compliance risks and/or incidents to the Bank’s senior management
19
Regulatory Compliance Officer Resume Examples & Samples
- Preparation and submission of registration documentation documentation (Chemistry, Manufacturing and Control (CMC))
- Issuance and follow up of change control for proposed changes relative to local manufacturing site
- Issuance of applications in company’s internal system to generate (new) codes for supply chain management
- Work on product renewals and deficiency letters
- Support business partners in regulatory topics
20
Regulatory Compliance Officer Resume Examples & Samples
- Minimum 3 years’ experience within the pharmaceutical industry
- Relevant experience in GMP/GLP environment
- Proven track record as a team player
- High level of proficiency in Microsoft Word/Excel
- ]Proficiency in speaking, comprehending, reading and writing English is required
21
Regulatory Compliance Officer Resume Examples & Samples
- To review registration information supplied by various registration centres and provide the information as appropriate to the relevant departments
- To prepare, review and approve Manufacturing and Analytical records and approval of External product documentation, in accordance with registered details
- To coordinate the MRA Reduced Testing and Annex 16 Programmes
- To support Product Transfer and Product Launch compliance activities
- To support change control and the registration variation process
- To support continuous improvement projects for the Operational Excellence Programme
- Involvement in site projects from a Regulatory Compliance perspective
- To maintain high standards of GMP at all times
- Any other duties assigned by the Regulatory Compliance Manager/QA Director
- Minimum 3 years experience within the pharmaceutical industry
- Strong organisational skills / ability to prioritize work.Proven track record as a team player
22
Senior Regulatory Compliance Officer Resume Examples & Samples
- Must have successfully completion your probationary period
- 3rd level qualification in science related discipline
- 3 - 5 years’ experience within the pharmaceutical industry
- Relevant experience in regulatory group in a GMP/GLP environment
- Strong organizational skills / ability to prioritize work
- Proficiency in speaking, comprehending, reading and writing English is required
23
Junior Bank Regulatory Compliance Officer Resume Examples & Samples
- Knowledge of US banking system and regulations
- Experienced with MS Outlook, Excel, Word, Powerpoint, GRC workflow tools
- Minimum 1 year of banking or compliance experience, preferrably dealing with Bank Regulatory Compliance
24
Regulatory Compliance Officer Resume Examples & Samples
- Proactive coordination of the site regulatory processes. Liaising with global RA to ensure the Cork site input & review/approval of Regulatory submissions & renewals
- Providing site regulatory assessment on Change Control, process deviations & ongoing projects. Answering site Regulatory queries
- Maintenance of Site Master File/Manufacturing l Authorisations, completion of annual reports & PQRs
- Response to queries from markets & provision of necessary documentation
- Site rep at global guideline monitoring team, Ensuring new regulations are gap assessed & implemented in a timely manner at the site
- Proactive co-ordination of the QA Compliance Systems such as Deviations/CAPA, Change Control, Customer Complaints, Internal Audits, Vendor management
- Provide support to plant regarding resolution & approval of compliance issues/actions (Deviations/CAPAs)
- Upgrading the quality systems and providing frontline response to system related queries from other departments is a key function within the role
- Approve of site GMP documentation (validation protocols/reports, analytical reports, SOPs)
- Participate in the Site internal auditing function as appropriate
- Participate in the organisation of compliance audits from external regulatory bodies (HPRA FDA) and drive timely closure for actions from these inspections
- Support the development, maintenance, reporting and presenting of Quality System metrics & support local QA management regarding preparation and execution of Quality Management Reviews
- Represent QA on development projects and process improvement initiatives
- Support team members & perform other activities in the areas of GMP compliance & Regulatory Affairs, when required
- Provision of ongoing GMP refresher training to the site
- Third Level Qualification in Science-based discipline or equivalent
- Proven years of experience in a GMP regulated environment
- Previous experience in Regulatory Affairs/Compliance desirable
- Proficient with relevant MS Office applications
- Energetic self-starter, ability to work to and meet strict deadlines
- Need to be team focused
- Passionate about ensuring plant regulatory compliance is maintained
25
Regulatory Compliance Officer Resume Examples & Samples
- Working knowledge of FINRA rules and regulations
- Working knowledge of the Investment Company Act of 1940
- Working knowledge of the Investment Advisers Act of 1940
- Working knowledge of complex mutual fund products including closed-end and closed-end interval funds, exchange traded funds, alternative investments, CFCs, commodities, swaps, and currencies
- Ability to work effectively both individually with little direct supervision and within a team environment
- Proficient skills with Microsoft Office software including Word, Excel, PowerPoint and Outlook
- Effective problem solving and organizational skills
- 5-10 years regulatory experience at the SEC strongly preferred
- Mutual fund compliance and/or investment adviser compliance experience required
- Prior financial services due diligence experience preferred
- Prior auditing or legal experience preferred
- Prior experience working with hedge funds and/or alternative investments preferred
26
Legal & Regulatory Compliance Officer Resume Examples & Samples
- Support the ongoing management of regulatory and compliance obligations, including document tracking, monitoring, assurance auditing, analysis and reporting
- Identifying and communicating regulatory and compliance trends and topics
- Support the ongoing coordination, maintenance and updating of the company’s regulatory and compliance training programs
- Support the preparation of submissions to industry bodies and regulators
- Provide advice to our business on legal risk management topics and appropriate remedial measures
- National Consumer Credit Protection Act 2009 (Cth)
- Corporations Act 2001 (Cth)
- Privacy Act 1988 (Cth)
- Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth)
- Competition and Consumer Act 2010 (Cth)
27
Senior Regulatory Compliance Officer Resume Examples & Samples
- Law or Master’s Degree in Business Administration, Finance or related field strongly preferred
- 7 - 10 yrs. combined Legal/Compliance experience
- 3 - 5 yrs. of Regulation W experience
- Strong working knowledge of banking regulations and subject matter expert in Regulations W/O
- Strong writing skills, including ability to draft policies and procedures clearly and concisely
- Strong analytic ability and oral communication skills
- Able to grasp and translate complex and theoretical concepts into practice
- Able to multitask and work effectively in a deadline driven environment
28
AVP Senior Regulatory Compliance Officer Trade Resume Examples & Samples
- Under the direction of a more senior officer, serves as a subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US
- Knowledge in Private Bank and Asset Management activity and surveillance
- Understanding the concept of Trade and E-Comms Surveillance and its functionality
- Experience in developing and reviewing daily trade surveillance reports, and deal with various ad-hoc special projects simultaneously
- Experience in dealing with business, internal testing groups, audits, and regulatory bodies such as FINRA, SEC, OCC, and/or NFA
- Thoroughly analyze automated alerts and ensure detailed, auditable, closure comments are annotated
- Undertake manual surveillance tasks in a timely manner and document findings clearly
- Work closely with local, regional and global, Compliance IT and Surveillance colleagues to enhance surveillance capabilities and coverage
- Ensure pre and/or post implementation testing of Surveillance developments take place, and all results are thoroughly recorded
29
AVP Senior Regulatory Compliance Officer Surveillance Investigations Resume Examples & Samples
- Manages the investigation process (internal and external) for the identification of potential market misconduct
- Has responsibility for the Surveillance team’s role in Trade Reconstruction in accordance with Dodd Frank Act Title VII
- Works closely with Surveillance, Front Office, IT and other stakeholders with heightened supervisory reviews and pro-active (rather than reactive) targeted reviews
- Supports the Americas to effectively and promptly manage these investigations, to reduce the risk and impact to the firm
- SME with an excellent understanding of Surveillance communications and trading systems, as well as the US regulatory framework
- Coordinates and produces weekly and monthly MI reports to key internal stakeholders
- Under the direction of a more senior officer, serves as a subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US
- Is knowledgeable about the results of any relevant BRCM reviews, CMAT testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Provides support to ensure remediation efforts are on track for assigned regulation(s), regulatory requirements and/or compliance risks
- Assists management in articulating any control weaknesses and status of plans to address these across HNAH, including for the Compliance Detailed Self-Assessment (CDSA). This role typically reports to a VP or SVP level regulatory compliance officer. In some cases, this role may report to an AVP Manager Regulatory Compliance Officer
- Provides support to ensure business lines appropriately incorporate change to align with new or revised regulatory requirements. Supports business lines and Local Compliance Officers in development of solutions to ensure compliance with assigned regulation(s), regulatory requirements, and/or compliance risks
- Helps to ensure future business growth is attained in a responsible and conscientious fashion while the operation remains regulatory compliant and commercially sound
- Strong knowledge of products across Global Markets and/or experience in investigations and forensic analysis
- Ability to undertake pro-active surveillance and identify trends and patterns
- Well-developed communications, analytical, organizational, and project management skills, as well as attention to detail
- Broad scope of knowledge of assigned businesses, including products, operations, systems, and organization and thorough understanding of significant regulatory compliance requirements applicable to assigned business(es)
- Proficiency with technology, pertinent mainframe systems, and software packages
30
AVP Senior Regulatory Compliance Officer Surveillance Assurance & Validation Resume Examples & Samples
- Manage the assurance risks within the Americas’ Surveillance tools, including data and model governance, validation, quality assurance and issues management, to ensure effectiveness, robust data input, compliance with firm standards and in accordance with regulatory expectations
- Manage the Quality Assurance process for alerts closed by onshore resources
- SME with an understanding of Surveillance systems, data inputs and controls
- Maintain an overview of existing coverage and known gaps or weaknesses, and works with Surveillance and Change Management to address gaps and weaknesses
- Continuously reassess risks associated with the role and inherent in the business, taking account of changing economic or market conditions, legal and regulatory requirements, operating procedure and practices, management restructurings, and the impact of new technology
- Ensures all actions take into account the likelihood of operational risk occurring, addressing areas of concern in conjunction with Risk and relevant line colleagues, and also ensures that actions resulting from points raised by internal or external audits and external regulators are correctly implemented in a timely fashion
- Knowledgeable about the results of any relevant BRCM reviews, CMAT testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Provides support to ensure remediation efforts are on track for assigned regulation(s), regulatory requirements and/or compliance risks
- Assists management in articulating any control weaknesses and status of plans to address these across HNAH, including for the Compliance Detailed Self-Assessment (CDSA)
- The role typically reports to a VP or SVP level regulatory compliance officer. In some cases, this role may report to an AVP Manager Regulatory Compliance Officer
- Proficiency with big data, pertinent mainframe systems, and software packages
31
EU Nutrition & Labelling Regulatory Compliance Officer Resume Examples & Samples
- Review of completed product recipes/specifications for compliance with internal policies and country specific legislative requirements
- Review of company websites for compliance with country specific regulatory requirements
- Proactively identifying potential issues and implementing processes to reduce and/or eradicate their impact
32
Regulatory Compliance Officer Resume Examples & Samples
- Act as point of contact for the plant to coordinate product related requests with a regulatory impact from LOC, production or any other department
- Review and approve all product related information (main CTD dossier sections: formula, manufacturing process, specifications & methods, statements, TIs, BOMs)
- Verify compliance of locally approved dossiers with plant practices for NPIs and approve system setup before launches
- Participate in Site Change Control Committee, through impact assessment, implementation strategy in compliance with both GMPs and registration documentation
- Verify regulatory compliance of locally registered dossiers vs global dossiers (module 3) vs plant practices
- Identify and evaluate gaps and propose regulatory remediation implementation strategy in agreement with global regulatory affairs
- Follow up change controls and ensure timely implementation
- Ensure alignment between SMEs, LOCs and CMC in order to close HA Commitments within agreed timelines
- Get escalation process under way in case of non-compliance
- Bachelor in Life Sciences with proficiency in English or equivalent
- Minimum 3 years’ experience in a Pharmaceutical Regulatory/Quality Environment
- Strong knowledge of Module 3 / CMC chemistry manufacturing Control
- Driven for accurate and detailed results, while exercising good judgement
- Striving for continuous Improvement in the systems and processes supporting regulatory compliance
- Fluent in French and English (oral and written)
- MS Office : good command
33
Regulatory Compliance Officer Resume Examples & Samples
- Management of product registration projects and conducting routine regulatory operations to ensure compliance with country laws and regulations ensuring these are consistent with MSD Animal Health’s policies and standards, and reflect MSD’s Code of Conduct
- Co-ordinate the preparation of submissions to support product registration including changes to the manufacturing process and product testing.. This includes preparing complex data packages (e.g. full regulatory dossiers) and participating in GMP audits as well as reviewing site SOPs
- Provide registration information to both internal and external stakeholders (including international counterparts)
- Ensure effective systems are in place to maintain the distribution records of registration packages
- Quality diploma/Science degree preferred
- Knowledge of or experience working in a regulatory environment
- Understanding of Good Manufacturing Processes (GMP)/ Good Laboratory Practices (GLP)
- Demonstrates advanced written communication skills in report writing and document review