This role involves being part of the European Capital Markets Advisory Compliance team, supporting regulatory matters for RBC's European Global Markets, Global Investment Banking, Corporate Banking, and Research businesses. The position focuses on delivering 2LOD advice and challenge on regulatory issues, coordinating team deliverables, tracking Compliance tasks, and contributing to monitoring and training to uphold RBC Capital Markets' brand and achieve business objectives through an integrated Compliance Culture and Programme.
Key responsibilities include supporting the CM Compliance Team Tracker & Dashboard, assisting the advisory team with Management Information, training materials, and communications, performing monitoring activities, analyzing Compliance datasets, revising policies and procedures, triaging E-communications escalations, and organizing the bimonthly CM Compliance huddle. Must-have skills include strong interpersonal and communication skills (written and oral), ability to work independently, strong time management and organizational skills, flexibility, a willingness to learn and adapt, a 'partnership mentality,' attention to detail, excellent analytical skills, and curiosity.
35 hours/week
Must be willing to learn and adapt to a constantly evolving regulatory environment and changing work environment.
Royal Bank of Canada is a global financial institution with a purpose-driven, principles-led approach to delivering leading performance. As Canada's largest bank, it provides personal and commercial banking, wealth management, and capital markets services to over 17 million clients worldwide.
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