Conduct risk-based compliance reviews according to Annual Compliance Review plan
Identify and evaluate regulatory compliance risk and control issues and provide recommendations for improvement
Compile compliance review reports to highlight major regulatory compliance issues and risk implications
Conduct assigned special / ad-hoc reviews
Follow up management actions/ rectification actions to address findings identified in compliance reviews and, where required, examinations undertaken by the regulators
To formulate and update compliance review related policies, programs and control procedures in accordance with regulatory rules and requirements
Review and monitor staff personal account dealing
Take up ad-hoc assignments, projects and job rotation as designated by Division Head / Senior Management
Requirements:
University graduate or above
4 years or above relevant experience with minimum 3 years in audit/ compliance/ compliance review experience in Big 4 or in banking/ financial services industry
Understand relevant policies and procedures of the Bank as well as regulatory rules and requirements
Strong analytical and interpersonal skills and capable to work independently
Proficiency in English and Chinese, fluency in Mandarin is an advantage .