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Our client is one of the largest global bank, provide excellent career opportunities and with a solid compliance structure in place. As part of a growing compliance team, they are now looking for an experience & committed compliance professional to support their insurance & wealth management business.
As a part of their growing Compliance Team, you will be reporting to the Regional Head of Regulatory Compliance, responsible for developing and enhancing their existing compliance policies and procedures, on-going compliance review, handling regulator's enquiries (HKMA, MPFA, OCI, SFC, etc), analysing potential impact of regulatory trends and impacts, and other ad hoc reporting. You will also be responsible for varies compliance projects for the group.
The successful candidate will be a degree holder in Law or Accounting, with a professional qualification is highly preferable. You will have at least 7 years of compliance experience in a retail banking or insurance environment, with solid experience in dealing with local regulators' enquiries. You will have strong project management skills and different financial products knowledge. You will possess excellent presentation and communication skills (Fluent Cantonese and English is a MUST) and an ability to deal with all levels of an organisation.