Not specified; competitive compensation pyckage; i...
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5+ years financial services compliance experience
Deep understanding of irish or uk conduct regulations
Experience with cpc, sme, dora, bcp regulatory frameworks
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PwC Ireland is seeking a Conduct Risk & Compliance Manager to join their Financial Services Risk & Regulatory team in Dublin. The role involves supporting financial institutions in navigating regulatory compliance while fostering a culture of continuous learning and operational excellence.
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Job Summary
This role involves helping financial institutions navigate complex regulatory landscapes by designing and enhancing their risk management frameworks.
The position requires acting as a subject matter expert on conduct regulations including CPC, SME, DORA, BCP, and CCMA to support client strategies.
PwC offers a competitive compensation package, inclusive employee benefits, and flexibility programs designed to help employees thrive in work and life.
Matching Summary
Match Score: 75
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PwC Ireland is seeking a Conduct Risk & Compliance Manager to join their Financial Services Risk & Regulatory team in Dublin. The role involves supporting financial institutions in navigating regulatory compliance while fostering a culture of continuous learning and operational excellence.
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Salary
Not specified; Competitive compensation package; Inclusive employee benefits and flexibility programs
Skills & Requirements
Must-have
5+ years Financial Services compliance experience
Deep understanding of Irish or UK Conduct regulations
Experience with CPC, SME, DORA, BCP regulatory frameworks
Proven ability to develop risk policies and procedures
Strong background in mentoring junior consultants
Nice-to-have
IRM or PRMIA relevant risk qualifications
Curious and analytical mindset for data insights
Collaborative team member with proactive approach
Experience driving operational excellence in compliance teams
Ability to translate data into meaningful business outcomes
Key Requirements
Degree qualified with relevant risk qualifications (e.g., IRM, PRMIA)
5+ years experience in Financial Services compliance-focused role
Demonstrable experience working with Regulated Institutions
Experience leading and developing high-performance teams