Responsibilities
Monitor the implementation of internal control systems related to securities.
Identify and report any compliance and internal control issues.
Provide training on securities-related internal controls and compliance issues to the team.
Monitor the latest changes required by regulatory bodies and internal risk management departments, complete gap analyses related to securities, various risk control self-assessments, and other risk and compliance-related tasks.
Regularly review securities-related business processes and systems, and continuously improve relevant policies and procedures.
Collaborate with internal compliance and risk departments, or external institutions, to conduct compliance, audit, risk reviews, follow up on rectification projects, and optimize processes.
Monitor suspicious securities trading and reporting.
Requirements
Bachelor degree in law, risk management, economics, finance, or a related field
At least 5 years of experience in risk management for securities businesses
Qualification in ECF is preferred
Good communication and coordination skills
Familiar with the regulatory requirements of the Hong Kong Monetary Authority (HKMA), the Securities and Futures Commission (SFC), and the Hong Kong Stock Exchange
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