Will Rogers

Compliance at ADNOC Group
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Contact Information
us****@****om
(386) 825-5501
Location
AE

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Experience

    • United Arab Emirates
    • Oil and Gas
    • 700 & Above Employee
    • Compliance
      • Jun 2022 - Present

    • Singapore
    • Oil and Gas
    • 100 - 200 Employee
    • Vice President, Compliance
      • Jun 2019 - May 2022

      Group Head of Compliance, Group MLRO, Group Personal Data Officer. Group Head of Compliance, Group MLRO, Group Personal Data Officer.

    • United States
    • Business Consulting and Services
    • 700 & Above Employee
    • Director
      • Jul 2015 - Jun 2019

    • United Kingdom
    • Banking
    • 700 & Above Employee
    • Manager
      • Jul 2014 - Jul 2015

      • Lead the team with responsibility for the prudential supervision of aUS GSIB’s EMEA operations - including banking and trading operations.• Responsible for creating and delivering the PRA’s supervisory strategy,identifying and mitigating crystallising risks, as well as ensuring the team’scontinued focus on the key risks to UK financial stability.• Manage the team’s delivery of Capital, Liquidity and Resolutionassessments, working closely with internal risk specialists, PRA policy, andthe Bank of England’s Resolution Directorate.• Led relationships at an International level with US, European and APACagencies. Engage extensively with the US regulators at both senior andworking levels, including joint onsite work and representing the PRA atregulatory colleges.• Represent Supervision on a number of cross PRA and Bank of England workstreams, engaging with senior management from across the organisation.• Subject matter expert on Capital for the PRA’s International BanksDirectorate, including key point of contact for technical queries, deliveringdirectorate wide training and creating new supervisory tools.

    • Senior Associate
      • Apr 2013 - Jul 2014

      Capital Specialist, UK Banks Division, Prudential Regulation Authority• Responsible for the assessment and monitoring of the capital position of one of the UK’s largest banking groups. Specific responsibilities include leading the engagement with the firm on the assessment of their capital strength, including stress testing and pillar 2 reviews combined with forward looking analysis of future funding needs.• On-going analysis of the firm's business model and key financial indicators to identify areas of strength, sources of profitability, inherent risks and vulnerabilities. Managing and delivering mitigation strategies where risks have been identified.• Maintain a detailed knowledge of upcoming regulatory developments and capital reforms - including Basel 3/CRDIV/CRR - in order to assess how they will impact banks and their business models.• Assessment of external issuances, including forming a view as to their ability to comply with future bail-in requirements.• Involved in a variety of risk mitigation work on globally systemic banks, including acting as a key point of contact for both internal and external stakeholders, including the Tripartite authorities and other regulators.

    • Senior Associate
      • Oct 2007 - Apr 2013

      Relationship Manager, European Investment Banks, International Banks Division. • Responsible for the supervision of several large EU banking groups including the assessment of their UK operations and the formulation and delivery of the FSA’s supervisory strategy. • Managing and delivering the FSA’s risk assessment processes for the above banking groups - including Capital (SREP), Liquidity (SLRP) and FSA ARROW II assessments. • Lead liaison with EU and international regulatory authorities including representing the UK at European regulatory colleges. • Additionally, responsible for creating and delivering the FSA’s contingency planning strategy for certain Eurozone countries. Working in close cooperation with the Bank of England, Her Majesty’s Treasury, and key European institutions. Other positions held within: Markets Monitoring Department, Enforcement Division, and Permissions/Regulatory Cases Divisions.

    • Belgium
    • Government Administration
    • 700 & Above Employee
    • Policy Desk Officer
      • Jul 2010 - Jan 2011

      Seconded from the FSA to the European Commission. Working in Financial Services and Markets Policy on areas including Short Selling and certain aspects of Credit Default Swaps, the Market Abuse Directive, and the review of MiFID (MiFID II). Seconded from the FSA to the European Commission. Working in Financial Services and Markets Policy on areas including Short Selling and certain aspects of Credit Default Swaps, the Market Abuse Directive, and the review of MiFID (MiFID II).

Education

  • Imperial College London
    BSc (Hons), Physics
    2004 - 2007

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