Job Description: To execute on Compliance Risk Management activities for the Business Unit as required by relevant regulatory requirements, policies and minimum standards and to lead the execution of special initiatives and integration activities as directed to ensure a robust and aligned control and compliance environment across the Business Area. Job Requirements: 5-7 years - The roles require experience in the execution and integration of risk management activities and procedures across multiple business disciplines within a financial services environment. Challenging Ideas Understanding of the regulatory environment in the financial services industry Convincing People In addition, the individual is required to have a fair understanding of the regulations and laws that govern the Corporate and Investment Banking division of the Bank. Articulating Information