Regulatory Compliance Solicitor
Position Overview
Job Description
Regulatory Compliance Solicitor - Bank of Ireland
Bank of Ireland Group is seeking a Regulatory Compliance Solicitor to join our Group Legal team at Mespil Road, Dublin. You will advise on regulatory compliance matters including Central Bank of Ireland requirements, ECB supervision, and financial services regulation across the Group's operations.
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The role involves advising on a wide range of financial regulation including MiFID II, PSD2, anti-money laundering legislation, and consumer protection. You will work closely with the compliance and risk functions to ensure the Group meets its regulatory obligations.
Key Responsibilities
- Advise on Central Bank of Ireland regulatory requirements and fitness and probity obligations
- Support the Group's engagement with the Central Bank and ECB supervisory processes
- Advise on MiFID II, PSD2, and consumer protection regulation
- Provide legal support on AML/CFT compliance and sanctions
- Draft regulatory submissions and policy documents
- Advise on new and emerging financial services regulation
Requirements
Requirements
- Qualified solicitor on the Roll of Solicitors in Ireland
- 5-8 years PQE in financial services regulatory law
- Strong knowledge of Central Bank of Ireland regulatory frameworks
- Experience with MiFID II, PSD2, and AML compliance
- Financial services in-house or advisory experience preferred
- Compliance or risk management qualifications are advantageous
Compensation
€7,500 - €10,000/year
Practice Area
Position
Mid
Application Deadline
June 18, 2026
Employment Type
Full time
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