Key Responsibilities
- Cover a full spectrum of Compliance scope includes regulatory compliance, internal compliance, financial crime and compliance etc
- Liaise with regulators on regulatory filing and answer their enquires
- Review regular transaction monitoring from financial crime perspectives
- Monitor AML risk assessment for the firm and sanction compliance
- Review and execute compliance policies and procedures for the firm
- Update and advise the senior management on the compliance requirements to ensure the firm’s is aligned with regulatory standard
- Keep track of new regulatory requirements and update the internal stakeholders
- Maintain the overall compliance team operations and participate in process improvement when necessary
Key Requirements
- At least 6 years of Compliance experience in brokerage / securities trading / exchange / payment services industries
- Well-versed with regulatory requirements in brokerage / securities trading industry
- Familiar with AML/ KYC tools and financial crime prevention standards
- Bachelor’s degree in business or legal or other disciplines
Interested parties please send your resume to Loretta Chan, R1876188 at [email protected].
Regrettably, only shortlisted candidates will be contacted.
EA License Number: 20C0180 | Amethyst Partners | [email protected]