About Our Client Our client has a long history of success and sizeable market share of the retail banking business in Hong Kong. They are known for their stable and team-oriented culture.
Job Description You will be responsible for:
Providing guidance for the management of the Bank's compliance and reputation risks
Providing compliance advisory support in current and new business initiatives
Acting as the key contact with HKMA and SFC and handling regulatory inquiries and inspection
Conducting compliance review, where necessary, to ensure that compliance matters are carried out in accordance with applicable laws and regulations
Leading and planing for the implementation of compliance policies and procedures
Managing the regulatory and advisory compliance department
The Successful Applicant You will be a university graduate with at least 15 years of compliance experience in the banking industry. Legal qualification or education would be preferred. You will have management experience of a sizeable team. You will possess good knowledge of the HKMA regulations with ideally well-established relationship with the regulators. Senior stakeholder management skill is a must. Fluency in English and Chinese is essential. Previous experience as the 72B Manager would be advantageous.