More jobs:
Asset & Wealth Management - Manager - FS Regulatory Insights
Job in
Glasgow, Glasgow City Area, G1, Scotland, UK
Listed on 2026-03-09
Listing for:
PwC UK
Full Time
position Listed on 2026-03-09
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Compliance, Wealth Management, Regulatory Compliance Specialist -
Management
Risk Manager/Analyst, Wealth Management, Regulatory Compliance Specialist
Job Description & How to Apply Below
Join to apply for the Asset & Wealth Management - Manager - FS Regulatory Insights role at PwC UK
Asset & Wealth Management - Manager - FS Regulatory Insights2 days ago Be among the first 25 applicants
Join to apply for the Asset & Wealth Management - Manager - FS Regulatory Insights role at PwC UK
Get AI-powered advice on this job and more exclusive features.
- The Financial Services Regulatory Insights team sits in PwC’s Financial Services Risk practice and is the catalyst and ‘engine room’ of PwC’s FS risk and regulatory strategy. We focus on emerging trends in risk and regulation, and develop early points of view and thought leadership. We take a forward-looking view of new risk and regulatory issues, develop a deep understanding of the potential implications and use these insights to engage with clients and other stakeholders.
- This role is to act as a Manager working on regulatory conduct and supervisory issues, impacting wealth management and asset management firms.
- This is a fantastic opportunity to develop your knowledge of new areas of risk and regulation, build experience and your network. The role will provide you with the chance to develop, gain new skills and experiences and to work with a range of clients and other stakeholders.
The Role
- The Financial Services Regulatory Insights team sits in PwC’s Financial Services Risk practice and is the catalyst and ‘engine room’ of PwC’s FS risk and regulatory strategy. We focus on emerging trends in risk and regulation, and develop early points of view and thought leadership. We take a forward-looking view of new risk and regulatory issues, develop a deep understanding of the potential implications and use these insights to engage with clients and other stakeholders.
- This role is to act as a Manager working on regulatory conduct and supervisory issues, impacting wealth management and asset management firms.
- This is a fantastic opportunity to develop your knowledge of new areas of risk and regulation, build experience and your network. The role will provide you with the chance to develop, gain new skills and experiences and to work with a range of clients and other stakeholders.
- Supporting clients and client delivery teams in understanding the impact of relevant regulatory developments and supervisory expectations for firms
- Acting as a subject matter expert on engagements
- Undertaking horizon scanning activities and identifying potential new opportunities for the firm
- Contributing to the work of FSRI focusing on new regulatory developments, wider themes and regulators’ policy making, supervisory and enforcement activities
- Producing written analysis and information including thought leadership, client publications and blogs.
- Conducting research, training, speaking at client events
- Providing input to the debate on development and application of policy, participating in developing Thought Leadership
- Engaging with regulators and policy makers on areas of expertise, and supporting the activity of FSRI’s wider regulatory relations team.
- Utilising your network to develop commercially focused propositions with our practice.
For this role an understanding of the regulatory and supervisory agenda impacting wealth managers and asset managers is needed. The focus of the role is broad and can to some extent be tailored to the right candidate but we are looking for candidates with experience of issues such as:
- The FCA’s broad approach to wealth management and asset management regulation, and its supervisory priorities
- New regulatory initiatives such as the Advice Guidance Boundary Review
- Areas of focus in asset management regulation such as private asset valuations, conflicts of interest and value
- An understanding of how regulatory initiatives impact firms.
The team focuses on key client issues and we engage with a wide range of stakeholders including senior clients, regulators, trade associations and government, producing…
Note that applications are not being accepted from your jurisdiction for this job currently via this jobsite. Candidate preferences are the decision of the Employer or Recruiting Agent, and are controlled by them alone.
To Search, View & Apply for jobs on this site that accept applications from your location or country, tap here to make a Search:
To Search, View & Apply for jobs on this site that accept applications from your location or country, tap here to make a Search:
Search for further Jobs Here:
×