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Senior Regulatory Specialist
3 weeks ago
This role is a primary legal resource on identifying and addressing regulatory issues that may affect Morningstar's operations in Asia and Pacific.
Key Responsibilities:- Advising the business on regulatory strategy and risk, including with respect to regulatory matters associated with strategic initiatives and new business line development as well as any potential regulatory violations.
- Providing guidance to Compliance on the management of Morningstar's regulatory compliance responsibilities and consulting with external parties as necessary.
- Serving as one of Morningstar's contacts and negotiators in APAC with regulatory bodies.
- Advising on the defence and settlement of any regulatory action or other related matters involving any of Morningstar's regulated businesses.
- Assisting with formal examinations or investigations by a regulator, regulatory registrations, and written submissions in response to consultations from regulators in APAC, as necessary.
- Leading internal investigations, and assisting Compliance with the development and implementation of policies, guidelines, and other documents pertaining to regulatory requirements applicable to Morningstar's regulated businesses in APAC, as necessary.
- Developing and implementing a training framework to build a high-performing regulatory legal team that can support Morningstar's regulated businesses as they continue to grow.
- Staying current on regulations and other changes in regulatory requirements that could impact Morningstar's businesses.
- Law degree and qualified to practice in Australia.
- At least 8 years of financial services or securities law experience in Australia or other APAC jurisdiction.
- Financial services compliance/regulatory experience is required.
- Substantive familiarity with ASIC requirements is required.
- Structured finance transactional experience or experience in dealing with regulatory bodies in the Asia-Pacific region is an advantage.
- In-house experience working for a regulated entity is preferred.
- Investment advisor, research, or asset management regulatory experience is beneficial.
- Must be admitted to practice law or eligible for admission to practice as in-house counsel in the jurisdiction where located.
- Leadership skills and the ability to influence are essential.
- Integrity and a high degree of professional ethics are paramount.
- Excellent judgment and analytical skills are required.
- Strong interpersonal and communication skills, including excellent drafting skills.
- Ability to work efficiently and independently, prioritize workflow, and meet deadlines is crucial.