Job Description
Our broader Compliance team sets the compliance strategy and monitors and manages the specific areas of risk exposure across the business to provide the Board and the group’s executive team with assurance of the group’s ongoing compliance with its regulatory obligations and policies.
The Market Conduct Compliance team is responsible for the provision of advice and guidance to the business on regulatory and procedural issues, with particular focus on conduct of business and application of relevant Rules and Regulations. This includes identifying regulatory developments, analysing and interpreting new regulations, managing relationship with the regulator(s)/Exchanges/TSO’s, updating regulatory policies and providing advice, delivering Compliance training and providing Compliance expertise for key business projects.
We are now looking for a Compliance Market Conduct Advisor to join our Compliance team to be based in our Head Office in Oslo.
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