Your main responsibility will be to manage the compliance and regulatory second line functions. Other responsibilities include providing advice to investment professionals, acting as a contact point to meet FATCA and CRS requirements, implementing and reviewing compliance procedures, ensuring staff are adhering to all SFC policies, assisting in providing updates to the board, and maintaining the current anti-money laundering system.
To qualify, you should have a degree in Accounting, Law, and/or other related disciplines, along with 5 to 10 years of experience in compliance within asset management. Solid experience in FATCA and CRS is required. You will also need to have strong communication and interpersonal skills in English, Cantonese, and Mandarin.
To apply for this job
Contact: Bryan Lim quoting job ref: VSA-1347
Telephone: 852 - 2525 8820