Responsibilities:
Collaborate with relevant departments and provide compliance guidance during the gap analysis to assess the impact of new regulatory changes that are applicable to the Bank Group
Provide compliance advices and business support in the areas of securities business and other regulated activities to meet the regulatory standard or business changes
Review new product and services proposals (e.g. product documents, selling process, marketing and training materials), and the relevant policies and procedures
Assess potential compliance issue revealed from operational risk incidents and complaints
Support business units in conducting regular and ad-hoc regulatory surveys and handle follow-up questions raised by the regulator(s)
Assist to develop, review and implement compliance plan, the relevant guidelines/procedures and conduct compliance related training
Handle ad hoc tasks assigned by supervisor
Requirements:
Degree holder in Finance, Banking, Risk Management, Law or related disciplines
Minimum of 5 years of relevant experience from banks, securities firms, regulators, or auditors
Strong knowledge of the Securities and Futures Ordinance (SFO), securities-related rules, and regulations; familiarity with HKEx requirements is advantageous.
Strong understanding of operations of securities firms and products/services offered by banks
Responsible, detailed-mind, well-organized with good communication skills
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刊登於 4日前
刊登於 4日前