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Regulatory Oversight & Governance Manager for ESG & Sustainable Investing - Private Banking

Job Req ID 21398696 Primary Location Singapore, Singapore; Hong Kong, Hong Kong SAR Job Category Risk Management
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The Regulatory Oversight & Governance for Sustainable Investing position is a new cross-product role dedicated to leading and overseeing Citi Global Wealth’s approach to the global product management and regulatory frameworks impacting sustainable and ESG investing.  The focus for this role will be existing and upcoming APAC regulations as well as global COO support on European and United States regulations impacting sustainable investing and banking activities.

Primary Responsibilities

·       Develop and execute implementation plans to address product management and regulatory compliance across the Investments platform, working closely with other functional partners and product partners.

·       Monitor industry and regulatory developments across multiple jurisdictions through participation in various forums, including industry working groups, to develop an understanding of changes to the sustainability landscape.

·       Work closely with product managers, research teams and other functions to ensure that the Private Bank continues to have the necessary infrastructure to support regulatory developments.

·       Partner with policy, legal and compliance groups across Citi to ensure consistency in approach.

·       Regularly report project status, prepare and present key decisions for approval to senior management, and articulate scope, solution and operational impacts of regulatory developments.

·       Identify and ensure adhere to all governance, risk and regulatory frameworks that impact sustainable investing globally.

Experience and Skills Required

·       Experience dealing with regulatory compliance, with experience in sustainable/ESG investing in asset or wealth management industries.   

·       Knowledge of the regulatory context and planned regulatory developments in different jurisdictions related to sustainable/ESG investing and their impacts on private banking, consumer banking and/or asset management businesses.

·       Demonstrable experience of working with control functions and product managers in order to understand and support implementing changes to processes.

·       Strong communication skills and experience in interacting with various stakeholders, such as senior leadership and industry bodies.

·       Project management experience gained through the delivery of medium to large changes across regulatory or business implementations in financial services with multiple cross project dependencies.

·       Excellent interpersonal, written and oral communication skills with ability to communicate and influence across a broad range of sophistication levels

·       Experience of integrating controlling and reporting sustainability risks into Discretionary, Funds, Capital Markets and Alternative Investments products would be advantageous

·       Understanding of qualitative and quantitative risk management (identification, analysis, projections and reporting) would be beneficial.

·      Bachelor’s degree with professional qualifications such as CFA, ACA etc. or Master’s qualification preferred.

Regulatory Project Management

Governance packs, forums and diplomacy

Commercial acumen

Client centric thinking

Intellectual curiosity to integrate sustainability factors into product framework

Good communication and influencing skills to effect change


Job Family Group:

Risk Management


Job Family:

Business Risk & Controls


Time Type:

Full time


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Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.

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