Job Description
This person will be responsible for:
- oversight of compliance for the Hong Kong business ensuring full alignment with the relevant regulations including Anti Money Laundering
- identification and mitigation of the firms regulatory risks in conducting its business cross border jurisdictions
- ensuring that the firm maintains the necessary licenses, authorities and/or policies and procedures to conduct cross border business in compliance with local laws or regulation
- advising business units on all matters relating to compliance
- serving as the point of contact for supervisory authorities
- taking appropriate action and reporting in accordance with internal procedures on the occurrence of a breach of laws or regulations
- updating and/or advising the Departments policies, procedures and manuals to ensure the continuing compliance with applicable rules and regulations
- developing and presenting training programmes on regulatory matters to all staff
This person must have:
- relevant University degree holder (MBA, law, finance or economics) will be an advantage
- over 10 years’ experience gained within the compliance function of an investment bank including at least 4 years’ managing others.
- strong problem solving skills with ability to solve complex regulatory problems in a creative but commercial way
- a proactive/value add approach to provide compliance advise for new business products
- the ability to assist the Head of Asia to lead and manage and provide guidance to the compliance team
- expert compliance knowledge and familiar with all SFC rules and regulations
- experience of dealing in multiple countries
If you would like to apply for this role or find out more, please contact Tony Wilkey at Robert Walters on tony.wilkey@robertwalters.com.hk quoting the Job Reference WDM/. Find out more Legal & Compliance job opportunities or information, visit our website www.robertwalters.com.hk.