Stephen Hyland, Acma, Cgma
About Stephen Hyland, Acma, Cgma
Stephen Hyland is a Regulatory Change Delivery Lead at HSBC, specializing in strategic IT solutions for complex regulatory programs. He has a diverse background in finance and consulting, with previous roles at JPMorgan Chase, Accenture, and Credit Suisse, and holds dual qualifications in CIMA and Career Coaching.
Work at HSBC
Stephen Hyland currently serves as the Regulatory Change Delivery Lead at HSBC, a position he has held since 2018. In this role, he focuses on managing regulatory change programs within the organization. His expertise lies in delivering strategic IT solutions that cater to large-scale, complex programs across various jurisdictions and divisions. He excels at fostering relationships with senior executive stakeholders throughout the regulatory change process.
Previous Experience
Before joining HSBC, Stephen Hyland worked in various roles across multiple organizations. He was a Freelance Management Consultant from 2017 to 2018 in County Dublin, Ireland. He also held positions at JPMorgan Chase as a Fund Accountant from 2005 to 2007 in Luxembourg, and at Credit Suisse as a Middle Office professional from 2007 to 2009 in Sydney, Australia. Additionally, he worked at Digicel as a Corporate Sales Executive for six months in David, Panama, and at Accenture as a Management Consultant from 2016 to 2017 in County Dublin.
Education and Expertise
Stephen Hyland has a strong educational background in business and management. He studied at Dublin City University, where he earned a Bachelor's degree in Business Studies from 1996 to 2000, followed by a Master's degree in Electronic Commerce from 2000 to 2001. He also attended Dublin Business School, achieving a CIMA qualification in Management Accounting from 2014 to 2016. His dual qualifications in CIMA and Career Coaching enhance his ability to navigate complex challenges in regulatory change.
Achievements in Regulatory Change
Throughout his career, Stephen Hyland has successfully delivered multiple regulatory change programs for global financial institutions. His experience includes working on significant initiatives such as CSDR, SRDII, EMIR UMR, FINSA, UCITS, AIFMD, and MIFID II. These programs reflect his capability to manage complex regulatory environments and implement effective solutions that meet industry standards.
Skills in Stakeholder Management
Stephen Hyland excels in managing senior executive stakeholder relationships, which is crucial for the success of regulatory change programs. His leadership style emphasizes building trust and inspiring confidence among stakeholders, facilitating smoother transitions during regulatory changes. This skill set is vital for ensuring that all parties are aligned and informed throughout the change process.