Responsibilities:
To develop and implement compliance policy and review program covering the equities and futures businesses with particular emphasis on the compliance with the relevant rules and regulations in Hong Kong
Provide compliance guidance, conduct training and make recommendations for improvement areas to minimize compliance risk
Advise business units on relevant compliance related matters such as reviewing new products and marketing materials
Participate in new product development and undertake projects when necessary
Perform trade surveillance and other regular reviews to identify potential compliance or internal control issues
Liaise with regulators, auditors, business and functional units on compliance issues
To perform ad hoc projects as required
Requirements:
Bachelor or Master Degree holder in Law or other related disciplines
5 years of related working experience in financial industry holding SFCType 1, 2, 4, 5 regulated activities, highly prefer in sizable Chinese securities firm / SFC would be advantages
Familiar with Securities and Futures Ordinance and applicable statutory and regulatory requirements
Good advisory and communication skills and ability to work under minimum supervision
Good command of written and spoken English and Chinese, fluency in Putonghua
Interested parties, please send FULL CV to [email protected] or contact us at 2520 0876.
Professional & Legal Services>Legal & Compliance
HK$ 50000-70000