Here at moneycorp we like to get the best out of you during the interview process.
As a result we've put together information about what you can expect and a helpful
guide for each stage of the journey.
We have a great opportunity for a Regulatory Compliance Executive to join our Group Risk and Compliance Team. In this role, you will plan and undertake all monitoring activities as required by the FCA and other regulatory authorities to ensure moneycorp remains fully compliant with all relevant legislation, licensing etc. in each region/country and that relevant documentation/licenses remain valid so that we are not in breach of UK and International regulations. To be successful in this role you will need solid MiFID 2 knowledge or practical application preferably from the FCA, but also knowledge of PSD2, PRIIPs and SMR. You need to have a ‘can do’ attitude, focus on delivery and aim to exceed expectations on every task you undertake mainly with the implementation of regulatory changes affecting moneycorp’s global business. In exchange, we can offer exposure and experience of working within a lively Compliance team.