134 Kyc Compliance jobs in Hong Kong

Anti-Money Laundering Manager

Verto

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In-House Sales & GTM Hiring Expert | Full-Cycle Recruitment | Employer Branding | Scaling Teams in High-Growth Environments

At Verto, we’re passionate about helping businesses in Emerging markets reach the world. What first started life as a FX solution for trading Nigerian Naira has now become a market-leading platform, changing the way thousands of businesses transfer money in and out of Emerging Markets.

We’re on a mission to change this by creating equal access to easy payment and liquidity solutions that are already a given in developed markets. Backed by world-class investors and recognised for our innovation — including winning the Milken-Motsepe Prize in FinTech, receiving the B2B Payments Innovation Award at the 2025 FinTech Breakthrough Awards, and being named ‘Fintech Start-Up of the Year’ at the Fintech Awards London 2022 — we are growing rapidly, processing billions of dollars annually.

We are seeking a seasoned and strategic compliance leader to act as our designated Money Laundering Reporting Officer (MLRO) in Hong Kong. This pivotal role is ideal for a driven professional who is excited to build and oversee a robust compliance framework, ensuring our operations adhere to the highest standards of regulatory compliance within the dynamic B2B cross-border payments sector.

In this role, you will be empowered to achieve key milestones, such as establishing and enhancing the firm’s AML/CTF program under the Hong Kong MSO license, while ensuring the seamless alignment of local requirements with our global compliance strategy. You will play a crucial role in steering the company through the complexities of Hong Kong's regulatory landscape, leveraging your deep expertise to develop and implement comprehensive and effective risk-based controls.

Responsibilities

  • Overall Compliance and Regulatory Adherence:
  • Serve as the designated MLRO for the firm, ensuring full compliance with Hong Kong’s regulatory requirements under the Customs and Excise Department’s MSO licensing regime.
  • Oversee the organisation’s adherence to Anti-Money Laundering (AML) and Couner-Terroism Financing (CTF) regulations, by implementing necessary policies and procedures.
  • Collaborate with the Verto Group compliance function to align and implement policies and procedures, ensuring compliance with local Hong Kong MSO regulations and statutory requirements.
  • Policy Development, Implementation and Risk Management:
  • Develop , implement and maintain comprehensive AML/CTF policies, procedures, and controls, specifically tailored to B2B cross border payments and aligned with regulatory requirements and industry best practices.
  • Conduct regular risk assessments and compliance reviews to identify and evaluate potential money laundering and terrorist financing risks, pinpoint gaps and recommend improvements.
  • Suspicious Activity Monitoring and Reporting:
  • Establish and maintain an effective system for identifying, monitoring, and reporting suspicious transactions or activities.
  • Investigate and analyse suspicious transactions or activities, assessing their potential impact on AML/CTF compliance.
  • Prepare and submit Suspicious Activity Reports (SARs) to the relevant authorities in accordance with our regulatory obligations.
  • Regulatory Engagement and Reporting:
  • Serve as the primary point of contact for regulatory bodies regarding AML/CTF matters, including the Hong Kong Customs and Excise Department and the Joint Financial Intelligence Unit (JFIU).
  • Oversee the preparation and submission of periodic compliance reports and transaction statements, including AML/CTF compliance reports to senior management and regulatory authorities as required.
  • Compliance Operations and Monitoring
  • Oversee the compliance operations for the Hong Kong entity encompassing critical functions such as customer onboarding, due diligence review, transactions monitoring, sanctions screening, vendor reviews, regulatory reporting procedures.
  • Establish and maintain a robust compliance monitoring program to assess the effectiveness of AML/CTF controls and procedures.
  • Training and Internal Collaboration:
  • Provide training to staff on AML/CFT obligations and best practices, developing and delivering comprehensive AML/CTF training programs across all employees to ensure a high level of awareness and understanding.

Requirements

  • Proven experience as an MLRO or Compliance Officer within an MSO-licensed firm in Hong Kong.
  • In-depth knowledge of AML/CFT regulations, especially as they apply cross border payments.
  • Familiarity with the regulatory framework governing cross-border payments in Hong Kong.
  • Prior experience working with Hong Kong based financial institutions
  • Fluency in English and Cantonese; Mandarin is a plus.
  • Degree holder or above in Law, Risk Management, Finance or related field with 10+ years' experience in a regulatory compliance role within a Banking/Finance, Payments, Fintech, or other relevant industry
  • Solid experience managing relationships with different regulatory authorities, with a keen understanding of their concerns and requirements.
Seniority level
  • Seniority level Associate
Employment type
  • Employment type Full-time
Job function
  • Job function Finance

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Central & Western District, Hong Kong SAR 3 days ago

Compliance Officer (Virtual Bank Candidate Welcome) Compliance Officer, Financial Crime, Compliance Senior Compliance Officer, General Compliance CDD/AML Officer - Maker/Checker ($23k - 35k/mth)

Central & Western District, Hong Kong SAR 2 weeks ago

Senior Officer/Assistant Manager, AML Control (1.5 Line of Defense)

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Section Head, System Management (Anti Money Laundering)

Bank of Communications Co., Ltd. London Branch

Posted 10 days ago

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Job Description

Job Responsibilities
  • Lead the team to monitor and review Anti Money Laundering (AML) system to ensure that the Bank’s operation is in compliance with statutory, regulatory and internal requirements.
  • Participate in system implementation and analyze business requirements on system operation workflow.
  • Advise on AML system optimization and manage the end-to-end delivery of projects.
  • Review project documentation including project progress reports and various management presentation materials.
Minimum Requirements
  • Degree holder in Computer Science, Business Administration, Information Systems or equivalent qualifications at HKQF level 5, with PMP certification preferable.
  • Minimum 8 years’ working experience with strong business knowledge in the banking industry.
  • Exposure in SAS programming and AML system implementation is an advantage.
  • Strong management skills to deliver top quality solutions and ability to manage successful relationships with stakeholders.
  • Able to work independently and possess effective communication skills in English and Chinese (including Putonghua).

Candidate with less experience will be considered as Senior Manager, System Management (Anti Money Laundering).

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Business Analyst / Associate Product Owner, Anti-Fraud Anti-Money Laundering

Mox Bank

Posted 10 days ago

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Business Analyst / Associate Product Owner, Anti-Fraud Anti-Money Laundering

Join to apply for the Business Analyst / Associate Product Owner, Anti-Fraud Anti-Money Laundering role at Mox Bank

Business Analyst / Associate Product Owner, Anti-Fraud Anti-Money Laundering

Join to apply for the Business Analyst / Associate Product Owner, Anti-Fraud Anti-Money Laundering role at Mox Bank

Description

Application Deadline: 3 October 2025

Department: Risk

Location: Hong Kong (SAR)

Description

About Mox
Mox is built by and for the ones who aspire to live life to the fullest – we call them Generation Mox! The name Mox reflects the endless opportunities we can create, - Mobile eXperience; Money eXperience; Money X (multiplier), eXponential growth, eXploration… it’s all up for us to define together.

Why Mox
Everything at Mox – from our products, features, to rewards – is designed based on customer research, tailor made for your needs. We care about what customers care about, especially in data security and privacy. Data ethics is core to everyone here at Mox. Mox rewards you with an array of banking and lifestyle benefits. Who says banking can’t be fun?

What we are looking for?
We're seeking an Associate Product Owner/Business Analyst to join our agile Product team and work with the Anti-Fraud / Anti-Money Laundering (AFAM) squad in the Risk tribe. As a key member of our team, you will design, develop, and run one of our key propositions, focusing on innovative FCC and fraud control to mitigate elevated FCC and fraud risk.


Responsibilities

  • Collaborate with the FCC and Fraud Team to design and refine AML/CFT and Fraud across multiple products, including payment, loan, investment management etc.
  • Develop change proposals for each FCC and Fraud control required to add or enhance.
  • Design test cases and test scenarios, perform QA/UAT/end to end testing on changes made by AFAM squad.
  • Work closely with FCC, Fraud and Tech Teams to ensure AML/CTF/Fraud decisions are correctly propagated and consistent among various systems.

Requirements

  • Bachelor’s or Masters’ Degree in Information System, Computer Science, Data Science, Business, Finance or other relevant disciplines
  • Experience with AML/CTF/Fraud systems is an advantage
  • Experience with banking industry is an advantage
  • Technical background with coding experience is preferred
  • Sharp analytical and problem-solving skills, working knowledge of SQL is a plus
  • Fluent spoken and written English
  • Outstanding communication, presentation, and leadership skills
  • Ability to manage time and schedules to meet aggressive deadlines and influence through persuasive written and verbal communication
  • Exceptional interpersonal and communication skills
  • An ability to think strategically and creatively
  • Attention to detail

All personal data provided by applicants will be used for recruitment and other employment-related purposes only. Personal data of unsuccessful applicants will be erased within 24 months of rejection of the applicant’s application.

Seniority level
  • Seniority level Entry level
Employment type
  • Employment type Full-time
Job function
  • Job function Research, Analyst, and Information Technology
  • Industries Banking

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Central & Western District, Hong Kong SAR 4 days ago

Wan Chai District, Hong Kong SAR 1 week ago

Sha Tin District, Hong Kong SAR 3 days ago

Business Analyst / Project Manager, Finance Technology Business Analyst (Product Control or Risk background) Digital Business Analyst - Banking (Up to 35K/mth) Business Analyst, Life Insurance (12 month contract)

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SVP, Regulatory Compliance

RD Technologies

Posted 1 day ago

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Job Description

1 day ago Be among the first 25 applicants

This is a pivotal leadership position at the heart of our company's governance and integrity framework. As the SVP of Regulatory Compliance, you will be the designated Compliance Officer, serving as our primary liaison with the Hong Kong Monetary Authority (HKMA). You will be entrusted with the ultimate responsibility for owning, maintaining, and enhancing our compliance framework to ensure we not only meet but exceed regulatory expectations. This strategic role is critical to our license to operate, our public reputation, and our ability to innovate responsibly.

Key Responsibilities:

  • Regulatory Relationship Management:
  • Lead and manage all regulatory engagement with the HKMA and other relevant authorities. Act as the primary, official point of contact for supervisory teams, handling inquiries, coordinating examinations, and ensuring timely, accurate, and high-quality responses.
  • Cultivate and maintain a relationship of trust and transparency with our regulators.
  • Compliance Framework & Governance:
  • Own and continuously enhance the company's compliance framework, including all policies, procedures, and internal controls to ensure robust adherence to all applicable laws, particularly the Payment Systems and Stored Value Facilities Ordinance (PSSVFO) and other relevant guidelines and circulars.
  • Proactively oversee the regulatory monitoring process to identify, assess, and implement necessary changes in response to the evolving legal and regulatory landscape.
  • Leadership & Culture:
  • Drive a strong, proactive compliance culture throughout the entire organization, from the board level to daily operations.
  • Develop and deliver impactful, ongoing compliance training programs for all staff to ensure a high level of awareness and competence across the company.
  • Serve as a key member of the leadership team, providing guidance and strategic input on all matters with regulatory implications.
  • Advisory & Assurance:
  • Act as a strategic advisor to the business and senior management, providing pragmatic and commercially-minded compliance guidance on new products, business initiatives, and emerging technologies.
  • Lead internal compliance reviews and risk assessments to provide assurance to the Board and senior management on the effectiveness of the control environment.
  • Designated Officer Roles:
  • Formally act as the designated Compliance Officer and Code of Conduct Officer for the company, maintaining all required regulatory records and fulfilling all statutory obligations associated with these roles.

Qualifications & Experience:

  • A minimum of 10 years of progressive experience in regulatory compliance, risk management, or internal audit within an HKMA-regulated Authorized Institution (AI), Stored Value Facility (SVF), or a relevant regulatory body.
  • Deep, demonstrable expertise in the Hong Kong regulatory environment, particularly the Banking Ordinance, PSSVFO and the HKMA's AML/CFT guidelines. Direct experience with Banking or SVF regulations is strongly preferred.
  • Bachelor's degree in Law, Finance, Accounting, or a related discipline. Relevant professional qualifications are highly advantageous.
  • Proven track record of successfully managing relationships and communications with financial regulators, especially the HKMA.
  • Exceptional communication, interpersonal, and stakeholder management skills, with the gravitas to engage effectively with senior management, the Board of Directors, and regulators.
  • A proactive, hands-on, and commercially-minded leader with unwavering integrity and a commitment to upholding the highest ethical standards.

General Culture and Benefits of RD Technologies

  • Exciting and collaborative startup environment.
  • Give your best while having fun and grow as a person.
  • A flat structure: your ideas get heard by the right people very quickly.
  • Creating your own profile in the startup ecosystem.
  • Casual dress code.
  • Free coffee, tea, drinks and snacks daily.
  • In-house gym facilities.
  • Regular and fun company activities.
  • Other leaves in addition to annual leaves, e.g. marriage leave, birthday leave, compassionate leave.

Data collected would be used for recruitment purposes only. Applicants who do not hear from us may consider their application unsuccessful and their data will be destroyed within 24 months of receipt.

Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Business Development and Sales

Referrals increase your chances of interviewing at RD Technologies by 2x

Get notified about new Vice President Compliance jobs in Hong Kong, Hong Kong SAR .

Vice President, Product Compliance (Corporate Banking) (Asst) Vice President, Portfolio Management & Risk Analytics (Personal Banking) Vice President, Cybersecurity Risk Lead, Asia Pacific Vice President, Credit Policy and Portfolio Management (Unsecured Lending), Risk Management Group AVP - Compliance Assurance (Corporate Bank) Compliance Officer (Virtual Bank Candidate Welcome) Vice-President - Compliance 2nd Level Controls, Asia Pacific Senior Compliance Officer, General Compliance Vice President, High Risk Review - APAC, Financial Crimes Office Asia, Intelligence and Analytics

Central & Western District, Hong Kong SAR 2 weeks ago

AVP - IT Risk (Operational Risk), Corporate Bank Assistant Vice President - Operational Risk (IT Risk) Compliance Officer, Financial Crime, Compliance Compliance and Legal Officer - Consulting Firm Assistant Vice President (12-month Contract) Global Markets Operations Department

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SVP, Regulatory Compliance

Hong Kong, Hong Kong RD Technologies

Posted 1 day ago

Job Viewed

Tap Again To Close

Job Description

1 day ago Be among the first 25 applicants

This is a pivotal leadership position at the heart of our company's governance and integrity framework. As the SVP of Regulatory Compliance, you will be the designated Compliance Officer, serving as our primary liaison with the Hong Kong Monetary Authority (HKMA). You will be entrusted with the ultimate responsibility for owning, maintaining, and enhancing our compliance framework to ensure we not only meet but exceed regulatory expectations. This strategic role is critical to our license to operate, our public reputation, and our ability to innovate responsibly.

Key Responsibilities:

  • Regulatory Relationship Management:
  • Lead and manage all regulatory engagement with the HKMA and other relevant authorities. Act as the primary, official point of contact for supervisory teams, handling inquiries, coordinating examinations, and ensuring timely, accurate, and high-quality responses.
  • Cultivate and maintain a relationship of trust and transparency with our regulators.
  • Compliance Framework & Governance:
  • Own and continuously enhance the company's compliance framework, including all policies, procedures, and internal controls to ensure robust adherence to all applicable laws, particularly the Payment Systems and Stored Value Facilities Ordinance (PSSVFO) and other relevant guidelines and circulars.
  • Proactively oversee the regulatory monitoring process to identify, assess, and implement necessary changes in response to the evolving legal and regulatory landscape.
  • Leadership & Culture:
  • Drive a strong, proactive compliance culture throughout the entire organization, from the board level to daily operations.
  • Develop and deliver impactful, ongoing compliance training programs for all staff to ensure a high level of awareness and competence across the company.
  • Serve as a key member of the leadership team, providing guidance and strategic input on all matters with regulatory implications.
  • Advisory & Assurance:
  • Act as a strategic advisor to the business and senior management, providing pragmatic and commercially-minded compliance guidance on new products, business initiatives, and emerging technologies.
  • Lead internal compliance reviews and risk assessments to provide assurance to the Board and senior management on the effectiveness of the control environment.
  • Designated Officer Roles:
  • Formally act as the designated Compliance Officer and Code of Conduct Officer for the company, maintaining all required regulatory records and fulfilling all statutory obligations associated with these roles.

Qualifications & Experience:

  • A minimum of 10 years of progressive experience in regulatory compliance, risk management, or internal audit within an HKMA-regulated Authorized Institution (AI), Stored Value Facility (SVF), or a relevant regulatory body.
  • Deep, demonstrable expertise in the Hong Kong regulatory environment, particularly the Banking Ordinance, PSSVFO and the HKMA's AML/CFT guidelines. Direct experience with Banking or SVF regulations is strongly preferred.
  • Bachelor's degree in Law, Finance, Accounting, or a related discipline. Relevant professional qualifications are highly advantageous.
  • Proven track record of successfully managing relationships and communications with financial regulators, especially the HKMA.
  • Exceptional communication, interpersonal, and stakeholder management skills, with the gravitas to engage effectively with senior management, the Board of Directors, and regulators.
  • A proactive, hands-on, and commercially-minded leader with unwavering integrity and a commitment to upholding the highest ethical standards.

General Culture and Benefits of RD Technologies

  • Exciting and collaborative startup environment.
  • Give your best while having fun and grow as a person.
  • A flat structure: your ideas get heard by the right people very quickly.
  • Creating your own profile in the startup ecosystem.
  • Casual dress code.
  • Free coffee, tea, drinks and snacks daily.
  • In-house gym facilities.
  • Regular and fun company activities.
  • Other leaves in addition to annual leaves, e.g. marriage leave, birthday leave, compassionate leave.

Data collected would be used for recruitment purposes only. Applicants who do not hear from us may consider their application unsuccessful and their data will be destroyed within 24 months of receipt.

Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Business Development and Sales

Referrals increase your chances of interviewing at RD Technologies by 2x

Get notified about new Vice President Compliance jobs in Hong Kong, Hong Kong SAR .

Vice President, Product Compliance (Corporate Banking) (Asst) Vice President, Portfolio Management & Risk Analytics (Personal Banking) Vice President, Cybersecurity Risk Lead, Asia Pacific Vice President, Credit Policy and Portfolio Management (Unsecured Lending), Risk Management Group AVP - Compliance Assurance (Corporate Bank) Compliance Officer (Virtual Bank Candidate Welcome) Vice-President - Compliance 2nd Level Controls, Asia Pacific Senior Compliance Officer, General Compliance Vice President, High Risk Review - APAC, Financial Crimes Office Asia, Intelligence and Analytics

Central & Western District, Hong Kong SAR 2 weeks ago

AVP - IT Risk (Operational Risk), Corporate Bank Assistant Vice President - Operational Risk (IT Risk) Compliance Officer, Financial Crime, Compliance Compliance and Legal Officer - Consulting Firm Assistant Vice President (12-month Contract) Global Markets Operations Department

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Manager, Regulatory Compliance & Advisory

Prudential Hong Kong

Posted 10 days ago

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Job Description

Manager, Regulatory Compliance & Advisory Manager, Regulatory Compliance & Advisory

3 days ago Be among the first 25 applicants

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Prudential’s purpose is to be partners for every life and protectors for every future. Our purpose encourages everything we do by creating a culture in which diversity is celebrated and inclusion assured, for our people, customers, and partners. We provide a platform for our people to do their best work and make an impact to the business, and we support our people’s career ambitions. We pledge to make Prudential a place where you can Connect, Grow, and Succeed.

To support the Director, Advisory & Regulatory Compliance in discharging his duties and ensure compliance with relevant law, regulations and Group policies. Providing advice on products and marketing campaign/promotions, liaison for product and marketing materials’ approval by Compliance, as well as providing advisory support for Product and Marketing teams. The role will also provide support on projects and new business initiatives as well as regulatory change implementation, as well as administrative support to the Compliance Advisory team.

Job Responsibilities

  • Conduct independent product compliance review throughout the product development cycle as well as post-sales monitoring, including but not limited to ensure the product design meets all applicable regulatory requirements and “Treat Customer Fairly” principle, review the relevant sales and marketing materials as well as the training materials; (iii) product promotion campaign; (iv) marketing campaign, etc.
  • Provide advice on product and marketing initiatives
  • Provide support on projects and new business initiatives and coordination for regulatory change implementation as and when required
  • Provide administrative support in the maintenance of Regulatory Matrix and the Regulatory Compliance System


Job Requirements

  • Degree holder in related disciplines
  • Have over 8 years working experience with at least 5 years in product compliance area in life insurance industry
  • Excellent knowledge of (i) laws and regulatory requirements applicable to Life insurance products, and (ii) Life insurance operations (including life administration and agency administration), e.g. underwriting, policy administration, claims, and sales channels (covering agency, bancassurance and broker channels)
  • Demonstrate ability on adoption of agile way of working, flexible to change, and ability to make independent, sound and informed decisions
  • Excellent command of English and Chinese (written and spoken)


Prudential is an equal opportunity employer. We provide equality of opportunity of benefits for all who apply and who perform work for our organisation irrespective of sex, race, age, ethnic origin, educational, social and cultural background, marital status, pregnancy and maternity, religion or belief, disability or part-time / fixed-term work, or any other status protected by applicable law. We encourage the same standards from our recruitment and third-party suppliers taking into account the context of grade, job and location. We also allow for reasonable adjustments to support people with individual physical or mental health requirements.

Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Finance and Sales

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Senior Regulatory Compliance Manager (Private Banking) Senior Manager, Global Compliance & Ethics (Bangkok Based, Relocation Provided) Senior Compliance Manager-Consumer Protection FSO - Risk Consulting - NFR (Regulatory Compliance) - Manager or above - HK (Senior) Business Compliance Manager (Corporate Business Compliance Division) Senior Manager, FinCrime Compliance (Bangkok Based, Relocation Provided) Compliance Manager / Senior Manager - Life Insurer Senior Manager & Team Head / Senior Manager – Business & Compliance Department under eMPF Company Assistant Manager – Facilities Management and Projects (13-month Contract) Distribution Operation & Administration, Specialist (Asst Manager Level) Senior Technology Risk Manager (Overseas Branch) Senior Manager – Leasing & Tenancy Compliance Technology Risk Management – Manager (Overseas Branch)

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Assistant Manager/ Manager – Regulatory & Compliance Senior Officer, Corporate Governance (Ref: CIA188/25, 10508) HEAD OF COMPLIANCE | REGIONAL BANK | INTERNATIONAL EXPANSION (Assistant / Deputy) Compliance Manager (Compliance Review)

Central & Western District, Hong Kong SAR 4 weeks ago

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Manager, Regulatory Compliance & Advisory

Hong Kong, Hong Kong Prudential Hong Kong

Posted 3 days ago

Job Viewed

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Job Description

Manager, Regulatory Compliance & Advisory Manager, Regulatory Compliance & Advisory

3 days ago Be among the first 25 applicants

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Prudential’s purpose is to be partners for every life and protectors for every future. Our purpose encourages everything we do by creating a culture in which diversity is celebrated and inclusion assured, for our people, customers, and partners. We provide a platform for our people to do their best work and make an impact to the business, and we support our people’s career ambitions. We pledge to make Prudential a place where you can Connect, Grow, and Succeed.
To support the Director, Advisory & Regulatory Compliance in discharging his duties and ensure compliance with relevant law, regulations and Group policies. Providing advice on products and marketing campaign/promotions, liaison for product and marketing materials’ approval by Compliance, as well as providing advisory support for Product and Marketing teams. The role will also provide support on projects and new business initiatives as well as regulatory change implementation, as well as administrative support to the Compliance Advisory team.
Job Responsibilities

  • Conduct independent product compliance review throughout the product development cycle as well as post-sales monitoring, including but not limited to ensure the product design meets all applicable regulatory requirements and “Treat Customer Fairly” principle, review the relevant sales and marketing materials as well as the training materials; (iii) product promotion campaign; (iv) marketing campaign, etc.
  • Provide advice on product and marketing initiatives
  • Provide support on projects and new business initiatives and coordination for regulatory change implementation as and when required
  • Provide administrative support in the maintenance of Regulatory Matrix and the Regulatory Compliance System
Job Requirements
  • Degree holder in related disciplines
  • Have over 8 years working experience with at least 5 years in product compliance area in life insurance industry
  • Excellent knowledge of (i) laws and regulatory requirements applicable to Life insurance products, and (ii) Life insurance operations (including life administration and agency administration), e.g. underwriting, policy administration, claims, and sales channels (covering agency, bancassurance and broker channels)
  • Demonstrate ability on adoption of agile way of working, flexible to change, and ability to make independent, sound and informed decisions
  • Excellent command of English and Chinese (written and spoken)
Prudential is an equal opportunity employer. We provide equality of opportunity of benefits for all who apply and who perform work for our organisation irrespective of sex, race, age, ethnic origin, educational, social and cultural background, marital status, pregnancy and maternity, religion or belief, disability or part-time / fixed-term work, or any other status protected by applicable law. We encourage the same standards from our recruitment and third-party suppliers taking into account the context of grade, job and location. We also allow for reasonable adjustments to support people with individual physical or mental health requirements. Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Finance and Sales

Referrals increase your chances of interviewing at Prudential Hong Kong by 2x

Get notified about new Regulatory Compliance Manager jobs in Hong Kong, Hong Kong SAR .

Senior Regulatory Compliance Manager (Private Banking) Senior Manager, Global Compliance & Ethics (Bangkok Based, Relocation Provided) Senior Compliance Manager-Consumer Protection FSO - Risk Consulting - NFR (Regulatory Compliance) - Manager or above - HK (Senior) Business Compliance Manager (Corporate Business Compliance Division) Senior Manager, FinCrime Compliance (Bangkok Based, Relocation Provided) Compliance Manager / Senior Manager - Life Insurer Senior Manager & Team Head / Senior Manager – Business & Compliance Department under eMPF Company Assistant Manager – Facilities Management and Projects (13-month Contract) Distribution Operation & Administration, Specialist (Asst Manager Level) Senior Technology Risk Manager (Overseas Branch) Senior Manager – Leasing & Tenancy Compliance Technology Risk Management – Manager (Overseas Branch)

Hong Kong, Hong Kong SAR
$36,000.00
-
$70,000.00
3 weeks ago

Assistant Manager/ Manager – Regulatory & Compliance Senior Officer, Corporate Governance (Ref: CIA188/25, 10508) HEAD OF COMPLIANCE | REGIONAL BANK | INTERNATIONAL EXPANSION (Assistant / Deputy) Compliance Manager (Compliance Review)

Central & Western District, Hong Kong SAR 4 weeks ago

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Senior Compliance Officer

Alter Domus

Posted 10 days ago

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Job Description

You will assist the Asia Pacific Compliance Manager located in Nanjing:

  • Assist in overseeing corporate compliance programme
  • Ensuring documentation and client database is updated
  • Supporting the preparation of different and regular compliance reporting
  • Supporting the preparation of new clients submission to the Global Client Acceptance Committee
  • Assisting in the review of investor’s KYC
  • Assisting in the various second level control testing
  • Providing guidance on internal policies and procedures
  • Answering specific questions from internal staff on KYC and compliance processes
  • Supporting any other (internal/external) requests

YOUR PROFILE:

  • You have a University degree in Law, Finance or Economics.
  • You have ideally 3 to 4 years of experience in Fund Administration and/or Corporate Service Compliance
  • You are proficient in Microsoft Office, especially in Excel
  • You are fluent in English. Any other language is considered as an advantage
  • You are results-oriented while being conscious of risk management
  • You are able to multitask and handle key deliverables with challenging deadlines
  • You have a keen eye for details and willing to execute tasks hands-on
  • Having knowledge on AML/KYC regulations of Asia Pacific regions will be considered as an advantage
Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Accounting/Auditing and Finance

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Legal/ Compliance Officer

HedgeSPA (Sophisticated Predictive Analytics for Hedge Funds and Leading Institutions)

Posted 10 days ago

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Job Description

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Description
  • Implement and manage an effective legal compliance program
  • Develop and review company policies
  • Advise management on the company’s compliance with laws and regulations through detailed reports
  • Create and manage effective action plans in response to audit discoveries and compliance violations
  • Regularly audit company procedures, practices, and documents to identify possible weaknesses or risks
  • Assess company operations to determine compliance risk
  • Ensure all employees are educated on the latest regulations and processes
  • Resolve employee concerns about legal compliance
Requirements
  • Minimal experience level: Over 1 year
  • Career Level: Entry Level
  • Minimum English Level: Business Level (English usage about 50%)
  • Minimum Education Level: Bachelor's Degree
  • Required Skills: Knowledge in legal and regulatory compliance procedures, professional maturity
Benefits
  • American-style Employee Stock Option Scheme
  • Negotiable salary based on experience
  • Bonuses paid on top of indicated salary
Additional Information
  • Seniority level: Entry level
  • Employment type: Full-time
  • Job function: Legal
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Legal/ Compliance Officer

Hong Kong, Hong Kong HedgeSPA (Sophisticated Predictive Analytics for Hedge Funds and Leading Institutions)

Posted 3 days ago

Job Viewed

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Job Description

Join to apply for the Legal/Compliance Officer role at HedgeSPA (Sophisticated Predictive Analytics for Hedge Funds and Leading Institutions) .

Get AI-powered advice on this job and more exclusive features.

Description
  • Implement and manage an effective legal compliance program
  • Develop and review company policies
  • Advise management on the company’s compliance with laws and regulations through detailed reports
  • Create and manage effective action plans in response to audit discoveries and compliance violations
  • Regularly audit company procedures, practices, and documents to identify possible weaknesses or risks
  • Assess company operations to determine compliance risk
  • Ensure all employees are educated on the latest regulations and processes
  • Resolve employee concerns about legal compliance
Requirements
  • Minimal experience level: Over 1 year
  • Career Level: Entry Level
  • Minimum English Level: Business Level (English usage about 50%)
  • Minimum Education Level: Bachelor's Degree
  • Required Skills: Knowledge in legal and regulatory compliance procedures, professional maturity
Benefits
  • American-style Employee Stock Option Scheme
  • Negotiable salary based on experience
  • Bonuses paid on top of indicated salary
Additional Information
  • Seniority level: Entry level
  • Employment type: Full-time
  • Job function: Legal
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