Our client is a leading brokerage house with a strong presence in Asia Pacific. The company is committed to provide professional services to institutional, private and retails clients in the trading of securities in Hong Kong.
Job Description:
- Monitor and maintain an effective compliance and control system within the company and the Group
- Formulate and review compliance policies and procedures including writing up operations and compliance manuals for securities dealing and prevention of money laundering
- Assist management in providing advisory services to business and operation units on compliance related matters
- Coordinate and liaise with regulatory authorities for regulatory enquiries, reporting, inspection or investigation
- Handle corporate and staff licensing matters
Job Requirements:
- Minimum 5 years of relevant experience in compliance is preferred
- Good working knowledge of securities areas
- Experience of dealing with regulatory authorities
- Familiar with SFO and regulations and guidelines issued by SFC
- Mature, self-motivated, independent, responsible and team player
- Excellent spoken and written English and Chinese
- Good communication skills and interpersonal skills
Interested applicants should send a detailed resume to Joyce Lee by email to jlee@ric.com.hk or by fax to (852) 2838 3323 quoting reference eFC1380.
(Applicants not contacted within 4 weeks should consider their application unsuccessful.)