Assistant Vice President, Compliance Advisory

Job Purpose Assist Team Head in providing compliance advisory for the assigned portfolio (PBG/ WBG/ TMG) (“Specific Area”) in relation to licensing, investment, insurance, retail, corporate and Treasury Products to ensure the adherence to internal compliance control and relevant legal and regulatory requirements Key Responsibilities Provide compliance advisory support in relation to Investment, insurance, retail, corporate and Treasury Products to all business units and support units of the Bank

China CITIC Bank International Limited - Hong Kong - Full time

Salary: Competitive

Job Purpose

  • Assist Team Head in providing compliance advisory for the assigned portfolio (PBG/ WBG/ TMG) (“Specific Area”) in relation to licensing, investment, insurance, retail, corporate and Treasury Products to ensure the adherence to internal compliance control and relevant legal and regulatory requirements

Key Responsibilities

  • Provide compliance advisory support in relation to Investment, insurance, retail, corporate and Treasury Products to all business units and support units of the Bank
  • Provide support to business and / or supporting units in the development, implementation and regular review of policies and procedures for their operations with due regard to all applicable regulatory requirements in the Specific Area
  • Assist Team Head to advise management on compliance issues and potential impact of regulatory trends and developments in designated areas
  • Collaborate with Compliance Assurance and Control Room Compliance team in performing compliance monitoring program on the Bank's various activities in investment compliance if necessary
  • Conduct compliance review on complaint cases and provide necessary advice in the area of designation
  • Review the current compliance controls of the Bank and identify proper actions for improvement if necessary in the area of designation
  • Liaise with regulators and handle the ad hoc examination, surveys, enquiries
  • Ensure compliance with relevant regulations, policies and guidelines and seek advice from appropriate authorities in the relevant jurisdiction when needed

Requirements

  • Degree holder in Law, Accounting or related disciplines
  • Minimum 8 years banking, legal, general audit or compliance experience preferable in a sizable financial institution and/or regulatory bodies
  • Holder of Associate Compliance Professional (ACOP) Certificate under the HKMA ECF on Compliance is preferred
  • Expertise in compliance regulations and practices and have good understanding on regulators expectation
  • Good command of written and spoken English and Chinese (including Putonghua)

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