Our client is a Global Banking Group, with strong presences in Asia. The firm is renowned for providing excellent career opportunities and with a solid compliance structure in place. As part of a growing compliance team, they are now looking for an energetic, passionate and intelligent compliance professional to support the banks’ compliance function.
You will be responsibile for working within the Wealth Management Compliance team reporting into the Head of Compliance.. You will be responsbile for providing regulatory updates to the business and providing advisory support. You will be the point of contact in dealing with local regulators (HKMA & SFC).
The successful candidate will be a degree holder in Law, Finance or Accounting. You will have at least 4-8 years of compliance experience in a banking or regulatory environment with strong exposure in retail & wealth management. You should have a strong understanding of local regulations. You will possess excellent presentation and communication skills.