Regulatory Change Manager


New York
Permanent
USD175000 - USD185000
Regulatory
PR/579629_1770924648
Regulatory Change Manager

A leading global investment bank is seeking a Regulatory Change Manager to support the identification, assessment, and implementation of regulatory developments across its global businesses. This is a high‑impact role responsible for ensuring the bank maintains a robust regulatory compliance posture by proactively managing regulatory change, coordinating with stakeholders, and supporting governance processes.

Key Responsibilities

  • Lead the end‑to‑end regulatory change management process, including horizon scanning, impact assessments, documentation, and tracking of regulatory requirements.
  • Monitor and analyse changes to laws, rules, and regulations across key jurisdictions, ensuring timely escalation and ownership assignment.
  • Partner with Compliance Advisory, Operational Risk, Legal, and Business Management to interpret regulatory developments and assess operational, compliance, and strategic impacts.
  • Update and maintain regulatory inventories, ensuring rules are accurately mapped to applicable business lines.
  • Manage governance routines, steering committees, and cross‑functional working groups focused on regulatory change.
  • Oversee remediation plans, regulatory commitments, and regulatory reporting tied to examinations, audits, or new supervisory requirements.
  • Provide clear, concise reporting to senior Compliance leadership on regulatory changes, progress updates, risk themes, and emerging trends.
  • Support enhancements to the broader Compliance Programme, including policy updates, training materials, process improvements, and internal controls.
  • Serve as a subject‑matter expert for regulatory developments across relevant asset classes and business lines.

Key Requirements

  • Strong experience within Regulatory Change, Regulatory Compliance, or Risk/Controls functions within a large bank or regulator
  • Deep understanding of regulatory frameworks affecting global investment banks (e.g., SEC, CFTC, FINRA, PRA, FCA, ESMA).
  • Proven ability to assess regulatory requirements, conduct impact analyses, and manage implementation programmes across multiple stakeholders.
  • Experience engaging with senior stakeholders, including Compliance, Legal, Technology, and Front Office.
  • Strong organisational and project management skills, with the ability to manage multiple concurrent regulatory deliverables.
  • Excellent written and verbal communication skills, including executive‑level reporting.
  • Familiarity with regulatory inventory tools, compliance management systems, or change‑management platforms is advantageous.

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