Senior Analyst (Finpro)

within Conduct Supervision


Senior Analyst (Finpro)

within Conduct Supervision

  • Grade:

  • Type:

  • Closing Date:

  • Job code:

  • Team:

    Financial Promotion and Risk Assessment
  • Date Posted:


About Conduct Supervision

Conduct Supervision is responsible for the setting up and implementation of the regulatory framework aiming to secure appropriate consumer protection in operations of licence holders in the financial services industry. The Conduct Supervision department is a relatively newly-formed team which currently employs 26 persons and is projecting growth as it is gradually assuming a cross-sectorial function covering under its remit supervision in conduct of credit institutions, securities, trustees, corporate service providers, as well as insurance and pensions. 

The Role

The eventual appointee will be joining the Financial Promotion and Risk Assessment team which has the primary responsibility to act as ‘radar’ of the Conduct Supervision Function in identifying and assessing the risks to consumers, both emerging and current and to monitor the promotional efforts of Regulated persons, ensure that the regulatory requirements in this regard are complied with. Reporting to the Senior Manager of the Financial Promotion and Risk Assessment team, the eventual appointee will be expected to carry out the following tasks: 

• Supervise the work activities of the other team members to ensure that the duties assigned to the team are effectively carried out; 
• Mentor other analysts in the carrying out of their respective duties;
• Assisting in the monitoring of the promotional efforts of the Regulated Persons, to ensure that the regulatory requirements in this regard are being  complied with;
• Assisting in carrying out an assessment of the disclosures being made to clients/customers of Regulated Persons to ensure that these are fair, clear and not misleading;
• Assisting in carrying out of an assessment of whether the Regulated Persons are correctly establishing the identified target market for each of the products they manufacture and/or distribute;
• Assist in identifying any potential risks which may be posed by certain activities of Regulated Persons and which would need to be addressed from a supervisory perspective;
• Participate in and assist in any on-site inspections carried out by the Function’s Supervisory teams;
• Assist in the drafting of any thematic questionnaires to be circulated to Regulated Persons as well as the analysis of replies received;
• Provide input and recommendations to the other Supervisory teams within Conduct Supervision Function;
• Handle planned or reactive conduct issues that arise on a day to day basis;
• Assist in any communications and/or consumer related awareness related work;
• Assume responsibility for the management and development of direct reports;
• carrying out ‘ad hoc’ assignments  related to specific regulatory and supervisory issues that may arise from time to time and to report on the outcome of such assignments as may be appropriate;
• Undertake any other tasks as delegated by senior management in line with the exigencies of the Function.  

About You

We are looking for candidates with solid academic background in financial services or in law or in another related background. A relevant Post Graduate Degree would be considered an asset.

The role calls for an academic qualification in a relevant field of study at National Qualification Framework Level 6 or better, duly certified by the Malta Qualifications Recognition Information Centre (MQRIC) or a widely recognised professional qualification at a comparable level. You will also possess a minimum of five (5) years working in the area of financial services.

Candidates with longer working experience relevant to the role will be preferred. If you do not have the necessary academic or professional qualifications but you have at least ten (10) years within a compliance or an investigative and/or analytical environment, we would still be interested in speaking with you.

How to apply

or query further information

Candidates are to forward a copy of their Curriculum Vitae (C.V.) and an accompanying covering letter providing the motivation for the application to [email protected]

Other Important Information

The MFSA is an Equal Opportunities Employer as certified by the NCPE (National Commission for the Protection of Equality) and is committed to a policy of equal opportunity in all aspects of employment and will take care to avoid any form of discrimination in its recruitment procedures. The MFSA reserves the right to withdraw this call at any time and not to select any of the Candidates.

It is the responsibility of applicants in possession of qualifications awarded by Universities and other similar institutions outside Malta to produce a recognition statement on comparability of qualifications issued by the Malta Qualifications Recognition Information Centre (MQRIC). Applicants should do so preferably at application stage or otherwise at the preliminary interview should an applicant be selected for such interview. Details can be obtained by accessing the National Commission for Further and Higher Education website on under MQRIC heading.

The MFSA shall ensure that any processing of personal data is in accordance with Regulation (EU) 2016/679 (General Data Protection Regulation), the Data Protection Act (Chapter 586 of the Laws of Malta) and any other relevant European Union and national law. For further details, you may refer to the Data Protection Policy on the MFSA webpage

Candidates are to note that the submission of any false statement/s or omission, even if unintended, may lead to the cancellation of their application and may render the candidate's appointment liable to termination.

Furthermore, please note that candidates may be asked to submit any documentation in support of the information provided, including but not limited to, proof of qualifications and Police Conduct Certificates.

Public call reference: 352/2019