Compliance & Risk Officer
職位亮點
職位描述
Tasks and Responsibilities
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Assist in reviewing business documents and related materials to ensure compliance with relevant laws and regulations
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Responsible for license applications and the establishment of regulatory frameworks
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Handle ad-hoc assignments as required
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Regularly review the compliance and effectiveness of policies and procedures, and draft compliance reports according to compliance management requirements
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Advise the business on compliance issues in transactions and provide ongoing guidance to ensure adherence to compliance requirements.
Qualifications and Experience
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Holder of SFC Type 1, 4, and 9 licenses
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Degree holder in Business Administration, Risk Management, Law, or related disciplines
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Good knowledge of securities operations, products, and services; familiar with the Securities and Futures Ordinance and related codes and guidelines issued by the SFC, as well as Anti-Money Laundering/Know Your Customer (AML/KYC) and other relevant laws and regulations
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Good knowledge of securities operations, products, and services
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8-10 years of relevant working experience in SFC licensed corporations
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Immediate availability preferred
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| 工作種類 | |
| 工作地區 | 九龍灣 |
| 教育程度 |
學士
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| 受僱形式 | 全職 |