Hong Kong Licensed Responsible Officer (RO) - 香港持牌RO 负责人

Job Responsibilities: Act as the responsible officer for SFC-regulated activities of Type 1, 4, and 9; Supervise, manage and ensure compliance with all applicable laws, regulations and rules, including SFC's codes of conduct and guidelines; Provide guidance and leadership in formulating, implementing and monitoring effective compliance policies and procedures; Supervise trading activities and conduct regular compliance reviews and risk assessments to identify and mitigate potential risks; Serve

Danehill Capital Limited - Hong Kong - Full time

Salary: Competitive

Job Responsibilities:

  1. Act as the responsible officer for SFC-regulated activities of Type 1, 4, and 9;
  2. Supervise, manage and ensure compliance with all applicable laws, regulations and rules, including SFC's codes of conduct and guidelines;
  3. Provide guidance and leadership in formulating, implementing and monitoring effective compliance policies and procedures;
  4. Supervise trading activities and conduct regular compliance reviews and risk assessments to identify and mitigate potential risks;
  5. Serve as the main contact person with the Securities and Futures Commission, handling all regulatory matters, reports and communications;
  6. Keep abreast of regulatory developments and provide advice to the company on compliance matters;
  7. Participate in the development of new products and business plans to ensure they meet all regulatory requirements;
  8. Provide training and support to employees on compliance-related issues.

Job Requirements:

  1. Possess the licenses required for conducting business in Hong Kong (with practical RO experience as a licensed responsible officer);
  2. Have more than 3 years of experience as a licensed responsible officer for Type 1/4/9 licenses in Hong Kong financial institutions, as well as practical business management experience;
  3. Hold a Hong Kong identity card / work visa;
  4. Understand the business logic of overseas urban investment bonds, and those with relevant resources are preferred.

岗位职责 :

  1. 担任SFC 对1 类、4 类、9 类监管活动的负责人;
  2. 监督、管理和确保遵守所有适用的法律、法规和法规,包括SFC的行为准则和准则;
  3. 就制定、实施和监督有效的合规政策和程序提供指导和领导;
  4. 监督交易活动,并定期进行合规审查和风险评估,以识别和减轻潜在的风险;
  5. 作为与证监会的主要联系人,处理所有监管内容、报告和沟通;
  6. 及时了解监管方面的发展,并就合规事宜向公司提供建议;
  7. 参与新产品和业务计划的开发,以确保它们满足所有的监管要求;
  8. 就合规相关问题向员工提供培训和支持。

任职要求:

  1. 具香港当地业务执行需具备的执照(RO 持牌负责人的经验资格实质RO 经验);
  2. 具香港金融机构1 号/ 4 号/ 9 号牌持牌负责人3 年以上经验以及实质业务管理经验;
  3. 具有香港居住证/ 工作签;
  4. 了解境外城投债业务逻辑,有相关资源者优先。
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