Menu
Connecting...
The Role:
Reporting directly into the Chief Compliance Officer, this role will see you elevate your Compliance & Legal career with a thriving bank that has an extensive international network of across 12 countries. This critical role is to be the primal assistant to the Chief Compliance Officer in managing all duties for the Compliance & Legal department.
Responsibilities:
Timely AML / CTF & Sanctions screening and reporting duties, including transaction monitoring
Review and approve corporate client onboarding and perform periodic review (KYC)
Maintain and administer CDD records and metrics
Maintain the Compliance & Legal Register
Review and update policies & procedures that support the compliance framework
Facilitate ongoing compliance training to all bank employees
Draft and vet contracts with third party legal and counterparties
Support with legal search and provide updates about regulatory changes to the Senior Management
Translate compliance documents and reports for the Head Office
Knowledge, Skills and Experience:
Tertiary degree in Finance, Business and/or Law
Basic knowledge of Prudential Standards, ASIC Guidelines and AMLCTF requirements
Good understanding of Australian financial markets and basic licensing obligations (banking & AFSL license) is desirable
Highly motivated, capable of multi-tasking, and willingness to learn and develop within the role
Good time management skills with the ability to prioritise tasks in order of urgency
Knowledge of Chinese regulations and financial services laws is highly desirable
Ability to speak / type / read Chinese
For further information on this role or to confidentially apply, please send an up to date CV to eugena.g.a4lm85juzno@ethosbc.aptrack.co contact Eugena Gong on 02 8227 9200 or apply directly via the Apply for this job button. Only WORD FORMAT resumes will be accepted.
The Role: Our client is a fast-growing asset management firm offering investment and advisory services to institutional investors, including public and private funds, SWFs and financial institution...
The Role: Our client is seeking an experienced Ethics and Compliance Counsel to join their team. In this pivotal role, you will review and interpret laws and regulations applicable to the group glo...
The Role:This role is to collaborate with the Executive Manager in providing support to the 2nd Line Business Banking Team with reporting for risk committees. Your Responsibilities: Primarily pr...
We're working with a few global banks in recruiting for their Line 2 regulatory compliance team. The role is broad and autonomos, working with a team of experienced compliance and/or legal professi...
The Role We are seeking a Regulatory Compliance candidate to join our team in Singapore — an integral role ensuring that our advisory and investment activities operate within the highest regulatory...
Role Summary: We are looking to fill a critical business-facing role in the 2nd LoD, to provide compliance support, advice and sign-off to Consumer Wealth Distribution. The role suits a confident...
Role Summary: We are looking for an experienced Audit, Compliance or Risk Assurance professional who fancy a promising career with leading Australian financial institutions, in a 2nd LoD Risk & Com...
The Role My client is a global Wealth and HNW firm and we are looking for a Compliance candidate in Singapore. As Compliance Manager, you will oversee the firm’s compliance framework, ensuring robu...
The Role: My client is a Wealth and Investment Bank and we are looking for a FCC Director in Singapore. Reporting up to the Regional Head, you will be overseeing all FCC matters across Singapore. ...
Role Summary: We would like to speak to technically sound Risk, Compliance & Assurance professionals who's great with Excel data! A promising role is now available, to assist the Enterprise Compl...
Global banking opportunity Opportunity for career progression Strong team A banking client is looking for an AVP/VP, IT Auditor to join their team. The successful candidate will lead and execut...
The Role: The Vice President of Third-Party Risk Management will lead the bank’s strategy, governance, and oversight of third-party and vendor risks across the enterprise. The role requires strong ...