Vice President
Kroll Inc.
Description
Kroll is seeking a Vice President to join our Financial Services Compliance & Regulation practice in the UAE. In this leadership role, you will advise banks, asset managers, investment firms, and other regulated financial institutions on a broad range of regulatory, risk, governance, compliance, and financial crime matters. You will lead complex client engagements, drive business development initiatives, mentor junior professionals, and play a key role in expanding Kroll’s Financial Services Regulatory Advisory practice across the region.
Apply now to join One Team, One Kroll.
Description
Responsibilities
As a Vice President within an expanding and dynamic team, you will lead high-profile regulatory advisory engagements while building and maintaining strong client relationships across the financial services sector. You will be responsible for the delivery of complex projects, development of junior team members, and the continued growth of the practice through thought leadership and business development activities.
As a Vice President, you will:
- Lead and oversee regulatory, risk, compliance, and financial crime engagements for financial institutions across the UAE and wider GCC region.
- Direct risk-based reviews, identifying control deficiencies, compliance gaps, governance weaknesses, and operational risk exposures.
- Serve as a trusted advisor to senior client stakeholders, including Boards, Executive Management, Compliance Officers, Risk Leaders, and Internal Audit functions.
- Manage and strengthen key client relationships, ensuring high-quality delivery and long-term partnership growth.
- Review and approve reports and presentations prepared for clients, regulators, and executive committees.
- Provide strategic advice on regulatory developments, regulatory remediation programs, and compliance transformation initiatives.
- Lead engagement teams, providing coaching, mentoring, and performance management to junior colleagues.
- Oversee data analysis, risk assessments, and the development of meaningful insights to support decision-making.
- Drive business development activities, including proposal development, client presentations, thought leadership, networking, and market outreach. Identify opportunities to expand client relationships and develop new service offerings within the regulatory advisory practice.
You will lead a wide range of engagements, including:
- Skilled Person Reviews
- Risk and Compliance Health Checks
- Regulatory Remediation Programs
- Regulatory Assurance Reviews
- Regulatory Readiness Assessments
- Enterprise Risk Management Reviews
- Operational Risk Framework Development
- Controls Testing and Assurance
- AML / Financial Crime Compliance Reviews
- Regulatory Reporting Reviews
- Consumer Protection and Conduct Risk Reviews
- Governance Reviews
- Regulatory Gap Assessments Internal Audit and Second-Line Risk & Compliance Reviews
The Ideal Candidate
We are looking for an experienced and commercially minded leader who is passionate about helping clients navigate an increasingly complex regulatory environment. The successful candidate will combine deep technical expertise with strong client management and business development capabilities.
Requirements
- Bachelor's degree in Finance, Accounting, Business, Law, Economics, or a related field; advanced degree preferred.
- 10+ years of relevant experience within a regulator, financial institution, consulting firm, or professional services organization.
- Demonstrated experience leading regulatory, compliance, risk management, or financial crime advisory engagements.
- Strong knowledge of banking and financial services regulations and industry practices.
- Significant exposure to UAE-regulated financial institutions and UAE regulatory frameworks.
- Experience working within a Big 4, Big 6, or leading advisory firm is highly desirable.
- Proven ability to manage senior client stakeholders a