I have partnered with a leading Investment Bank on a new Regulatory Reporting role to join their centralised reporting team, focusing on Derivatives and Securities products. Within the Regulatory Reporting Office you'll be essential in ensuring regulatory reporting accuracy and transparency for Global markets. Your role will encompass regulatory compliance across several mandates, including MIFID (EU and UK) and FinFrag. Within this role, your key responsibilities will include: Leadership & Expertise: Manage the Regulatory Reporting team, provide hands-on expertise, and guide less experienced team members. Collaboration: Work closely with business, IT, Ops, and Compliance teams, translating regulatory requirements into tailored business workflows. Regulatory Engagement: Participate in market groups (ISDA, AMAFI, FSA) and continuously improve reporting schemas for high-quality data management and audit transparency. Action Planning: Liaise with stakeholders to manage regulator requests, oversee detailed responses, and coordinate action plans to enhance IT and operational processes. Team Representation: Act as a representative in various forums, steering committees, and internal committees. The successful candidate will demonstrate: Proven team leadership experience and a deep understanding of regulatory frameworks. Strong experience in regulatory interpretations within financial services. Project management expertise with a collaborative spirit across multiple locations. Exceptional communication skills with an eye for detail.