Analyst (Investments and Crypto Asset Service Providers)
Malta Financial Services Authority View all jobs
- Malta Island
- Permanent
- Full-time
- Participate in onsite inspections and supervisory meetings with a view to assess the licence holder's compliance to the applicable conduct of business rules;
- Participate in thematic reviews;
- Review the soundness of quantitative disclosures made to consumers as part of regulatory requirements;
- Reply to queries from licence holders relating to conduct matters which arise on a day-to-day basis;
- Represent the MFSA in engagement with internal and external stakeholders;
- Assist in work related to the monitoring of reporting obligations of licence holders;
- Assist in preparation of replies with regards to EU/ESMA questionnaires;
- Systematically assess business operations and strategy of licence holders to ensure that consumers' interests are at the heart of the way the business is operating;
- Work closely with the Financial Promotion and Risk Assessment team, tasked with analysing emerging risks and trends in the operation of regulated persons;
- Exercise supervisory judgement in handling cases, challenging licence holders on consumer protection issues and ensure that such issues are dealt with expeditiously;
- Providing presentations on matters related to conduct supervision in the context of investment services to licence holders during webinars or other engagements with the industry;
- Undertake any other tasks as delegated by senior management in line with the exigencies of the Conduct Supervisory Unit and the Authority.
- Strong knowledge of conduct of business regulation, investor and consumer protection frameworks, EU financial services legislation, and supervisory practices applicable to investment services and other regulated activities.
- Proven ability to assess licence holders’ compliance through onsite inspections, thematic reviews and supervisory engagements, respond effectively to regulatory queries, and contribute to EU-level supervisory exercises and questionnaires coordinated with European Securities and Markets Authority.
- Analytical, risk-focused, and detail-oriented, with the ability to assess quantitative disclosures, evaluate business models and strategies, identify emerging conduct risks, and exercise sound supervisory judgement.
- High level of integrity, objectivity, and professionalism, with strong communication skills and the confidence to challenge licence holders on consumer protection matters and represent the Malta Financial Services Authority in engagements with internal and external stakeholders.
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