Conduct risk-based compliance reviews to ensure adherence to regulatory / internal / Head Office requirements
Identify and evaluate regulatory compliance risk and control issues and prepare compliance review reports to highlight exceptions and provide recommendations for improvement
Follow up on the remediation work for identified issues
Assist Department Head to formulate and update compliance review related policies, programs and control procedures
Handle ad-hoc tasks as assigned
Requirements:
Degree holder or above in Accounting, Business, Law or related disciplines
At least 8 years' experience in compliance, control or internal audit, preferably in banking, Big 4 or regulatory bodies
Sound knowledge in banking products and services, market practice and regulatory requirements
Good analytical, interpersonal and communication skills to work with internal parties
Proficiency in both spoken and written English and Chinese, fluency in Mandarin is a plus
Candidates with less experience will be considered as Senior Compliance Manager