Market leading Investment bank seeks a Regulatory Affair professional to join their expanding Compliance function. This is an exciting opportunity to be part of the setting up a new Regulatory Affairs team which will be key to ensuring that the firm continues to meet regulatory expectations and deals with the FSA in an open and cooperative manner.The successful applicant will have:* Experience of working in Compliance/Regulatory Policy or liaison roles for a large FSA regulated firm and/or previous experience working in supervision or policy for the FSA or other relevant regulatory body.* A knowledge of transaction reporting and client money would be beneficial.* Good knowledge of the structure and functions of large international investment banks and the regulatory challenges that this will bring.* Thorough understanding of the UK Regulatory Environment and specific rules, particularly of FSA Systems and Controls and Conduct of Business rules.* Knowledge of the prudential supervisory framework and rules in the UK also an advantage.Within the role you will be involved with assisting the EMEA Head of Compliance and Head of Regulatory Affairs with proactive management of key regulatory relationships, primarily with the FSA.There will be significant exposure to working with the firm’s Compliance teams globally to assist in maintaining regulatory relationships and provision of information where required to support these relationships.To apply for this role please contact Aaron Bolton on 02073671961 or Aaron.Bolton@badenochandclark.comwww.badenochandclark.com - Let's find the career that connects with your life.Badenoch & Clark is acting as an Employment Agency in relation to this vacancy. Badenoch & Clark is an Equal Opportunity Employer and a registered Disability Symbol User.