At Ernst & Young, our Regulatory team offers you the opportunity to work with the biggest firms in the Investment Banking, Retail Banking, Investment Management, Asset Management and Insurance sectors.
We are looking for market professionals who wish to be given the opportunity to develop their personal, technical and leadership skills within the environment of one of the largest providers of professional services in the world.
Our teams come from a broad range of industry sectors, with a common goal to be able to work with our market leading clients to develop compliance solutions. The discipline that they develop by working in our international advisory business and creating solutions to complex issues provides Ernst & Young advisers with a unique set of skills which are highly regarded in the market place. In addition, the breadth of our advisory services and the global nature of our business allows our people to develop and grow based on their own personal goals and objectives.
Responsibilities:
- Analyse regulatory issues at clients, either via documentation review and / or interviews with client staff
- Support the analysis of emerging regulatory issues, the articulation of an EY point of view and the development of an EY proposition.
Skills and experience:
- General Insurance regulatory experience at the FSA, a FTSE 100 Financial Services organisation or another Advisory firm
- Regulatory experience should cover Conduct of Business, SYSC, or Governance
- Strong academic background including a Bachelor's degree in Accounting, Finance, Economics or a related field
- Previous exposure to FSA
- Knowledge of accounting, regulatory reporting and / or regulatory reporting software packages, as well as bank compliance practices.
Who we are
At Ernst & Young our inclusive work environment means that everyone’s opinion is valued. This enables us to provide better advice and ideas to our clients, which in turn helps you develop as an individual to achieve your potential and make a difference.