Regulatory Disclosures Advisor Markets Division
10 Paternoster Square, London, Ec4M 7Ls
Working within a regulatory/control environment to ensure compliance with domestic and international regulatory disclosure obligations including FSA, Panel on Takeovers and Mergers (PoTaM), Disclosure and Transparency Rules (DTR) and Listing Rules Liaising with key stakeholders regarding disclosure requirements on complex distributions into other jurisdictions including FSA, Takeover Panel (Rule 8, TR-1) and SECRegulatory reporting for price sensitive market disclosures, maintaining clear records of all filings and communicationsImplementing, reviewing and updating robust and adequate procedures to facilitate the timely reporting of security exposures to Regulators / Exchanges / PoTaM as required by LSE rules Compliant dissemination of regulatory news announcements on behalf of UK listed and Aim companiesPreventing potential errors of disclosures, providing remedial action to minimise risks to FSA / UKLA service criteria and reputation of the LSEBuilding relationships with AIM companies, member firms, financial institutions, investment trusts, regulators and government agencies, PR agents, advisers and plus-listed companiesFacilitating effective and sustainable relationships with FTSE100 clients, from initial account set up and registration through to client retention through excellent service and presentationsStatistical analysis of departmental activities for MI reporting purposes