The Compliance Manager – Third Party Risk is a senior compliance and risk management role within Bank of Ireland, focused on Third Party Risk Management (TPRM). The role plays a critical part in ensuring that third-party engagements comply with regulatory, legal, and internal policy requirements across Ireland, the UK, and the EU.
Working closely with the Regulatory Compliance & Sustainability Lead and cross-functional stakeholders, the Compliance Manager supports the development, implementation, and ongoing enhancement of the Third Party Risk Management compliance framework and technical standards. This includes ensuring alignment with key regulatory requirements such as the EBA Guidelines on Outsourcing, the Digital Operational Resilience Act (DORA), and Prudential Regulation Authority standards.
Key responsibilities include embedding ESG and sustainability considerations into third-party onboarding and due diligence processes, maintaining and updating compliance policies and procedures, conducting internal compliance assessments, and reporting findings and remediation plans to senior executive management. The role also involves influencing stakeholders, driving continuous improvement, and fostering a strong compliance culture across the organisation.
This is a permanent, full-time hybrid role based in Dublin within a large, regulated financial services environment.


