Financial Services Regulatory Compliance at Big 4
Basically I gave an interview coming up in ~1.5 weeks for this role (graduate position) in one of the B4s, and wondering what kind of topics I should read up on, what kind of questions the interviewers will be likely to ask, generally how to better prepare myself for the interview. I reside in Asia, if it matters.
Also, as this role is tagged under risk management rather than forensics (they have regulatory compliance there as well), it seems that one provides advisory services to banks and FIs whereas the other is more general. I would like to know what other key differences there are between both of them. Would an advisory role in compliance translate to better career progression as well?
Thanks!