Compliance Manager, Securities Business Department
Il y a 23 heures
Brussels, Brussels-Capital, Belgique
Industrial and Commercial Bank of China
Temps plein
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Industrial and Commercial Bank of China (Asia) Limited (“ICBC (Asia)”) is the flagship of overseas business of Industrial and Commercial Bank of China Limited (“ICBC”) – currently the largest commercial bank in China, and it is one of the domestic systemically important banks (D-SIBs) in Hong Kong. Currently, ICBC (Asia) has 52 retail outlets (including 27 “Elite Club” Wealth Management Centres) in Hong Kong. It is engaged in commercial banking, investment banking and other financial services, including those of securities, insurance and funds, with a focus on commercial and retail banking as well as global market business. Chinese Mercantile Bank and ICBC Asset Management (Global) Company Limited, two wholly-owned subsidiaries of ICBC (Asia), specialize in Renminbi services in mainland China and ICBC’s global asset management business respectively.
Job Responsibilities
Maintain and monitor the operation of securities business to align with the HKMA, SFC and other any other relevant regulatory frameworks
Provide compliance advice and guidance to business units on securities-related products, transactions, dealing and marketing materials
Evaluate and identify any potential compliance and operational risks from securities business activities and products, provide corresponding precautions if necessary
Disseminate laws and regulations issued by regulators and coordinate gap analysis, manage regulatory change impact and ensure timely implementation of new or updated rules
Collaborate with business/ operations teams to establish sound internal controls to mitigate the associated risks
Investigate and prepare compliance-related incident, recommend corrective actions or disciplinary measures where necessary
Work with group compliance and internal parties to keep abreast of and adhere to the updated group policies and requirements
Prepare and submit questionnaires, surveys, investigations, licensing application and other enquiries in relation to regulators
Prepare training to promote compliance awareness among colleagues
Handle ad-hoc projects from time to time assigned by Team Head/ Management.
Job Requirements
University graduate with major in Business, Accounting, Finance, Law or related disciplines
Minimum 5 years of experience in Securities Business in the Financial Industry, preferably in banking
Experience in being compliance manager
Well-verse in regulatory requirements such as the HKMA and SFC
Familiar with Banking Ordinance, SFO and relevant rules, codes and guidelines issued by the HKMA and SFC
Sound knowledge of relevant laws and regulations pertinent to bank
Ability to communicate regulatory concepts and understanding clearly
Excellent analytical and problem-solving skills with strong attention to details
Ability to work independently and work under pressure efficiently
With good interpersonal and communication skills as a people-oriented and a good team player
Proficiency in Microsoft Office (especially Excel and Power Point)
Interested parties, please click "Apply Now" for application.
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