Assistant Risk and Compliance Manager (Regulatory Compliance) - Bank of East Asia (Trustees) Limited

The Bank of East Asia, Limited

Responsibilities

  • Monitor and ensure regulatory compliance requirements related to: i) the operations of pension business (MPF and ORSO) or Unit Trusts;  ii) legislation changes and regularly update and review on internal policies, procedures and guidelines, and internal training materials; or
  • To review significant complaints and breach incidents, MIS reports, forms, fund fact sheets and marketing materials to ensure compliance with the relevant requirements; or
  • Communicate and coordinate comments and responses with relevant departments/sections on compliance matters and handle enquiries from regulators; or
  • To make applications regarding any proposed amendments to the pension and funds documents and the appointment of new directors; or
  • To assist in the review process of the investment management contracts, custodial agreements, investment portfolio to ensure they comply with the relevant regulatory requirements, investment policy, governing rules and / or deed; or
  • Working with internal and external auditors or regulators to facilitate onsite inspection, compliance review or audit process; or
  • Any other ah-hoc duties and tasks assigned by Supervisors

Requirements

  • University graduate, preferably in business, banking, accounting, law, finance or related disciplines; 
  • Minimum 3 years working experience, preferable in financial industry, regulators or audit or compliance or internal controls or risk management or frauds control fields cover the following:
    • Good understanding of any one or more of the relevant requirements of  MPF/ORSO, MPF Intermediary, unit trusts, funds management, data privacy, risk management or fraud control;
    • Able to understand the controls/ operations of pension/MPF/ORSO businesses or Unit Trusts is an advantage;
    • Experience in reviewing procedures and guidelines and able to understand legislation and regulatory requirements;
    • Good time management skill of meeting deadlines with different priorities;
    • Strong self-discipline and good communication and analytical skills;
    • Good team player with self-motivated, independent and good working attitude.
  • Relevant knowledge and experience on handling SFC RA 13 or HKMA TB-1 would be a plus;
  • Experience in dealing with Regulator (HKMA or SFC or MPFA) and knowledge in Conduct Guidelines and UT Code is an advantage;
  • Excellent command of both spoken and written English and Chinese.
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薪酬 薪金面議
待遇
  • 五天工作週
  • 生日假
  • 膳食津貼
  • 醫療計劃
  • 社交/休閒及運動設施
工種
  • 銀行 · 金融服務 - 風險管理
  • 銀行 · 金融服務 - 一般 · 其他
工作地點
  • 觀塘
教育程度
  • 學士

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