- Looking for stable asset management compliance background
- great work culture and benefits
the client is a hedge fund and top-tier Mainland Chinese fund house that provides active investment management services to individual, corporate, and institutional clients using a long-term, value-driven philosophy.
Job Description
As a Compliance professional, your main responsibilities will include:
- Ensuring compliance with the SFC regulator
- Developing and implementing compliance policies and procedures to mitigate risks effectively.
- Conducting regular compliance audits and preparing detailed reports for management.
- Monitoring and assessing the effectiveness of internal controls within the banking and financial services department.
- Providing training and guidance to staff on compliance-related matters.
- Conduct AML/KYC checks
- Collaborating with internal and external stakeholders to address compliance issues.
- Keeping up-to-date with changes in laws and regulations impacting the financial services industry.
- Supporting the implementation of new compliance systems and tools.
A successful Compliance professional should have:
- 8+ years of compliance experience from buyside firm; preferably from hedge fund or private equity firm
- bachelor degree
- experience working in chinese firm
- prefer is have experience with SFC onsite examinations
- must be able to work independently
- must be able to read and write chinese and speak mandarin
- great work culture
- good benefits
- attractive bonus
Job ID JN-062026-7034605
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