This is a key leadership position and play a key role in supporting the senior management on high level policy-making decisions and in holding appointments of responsibility as the designated MLRO, DPO and the FATCA/CRS Officers.
As a compliance leader and subject-matter expert, you are responsible for leading a team in developing and overseeing compliance within the Group, and ensuring compliance with laws, regulatory requirements, policies, and procedures in upholding its reputation and regulatory standards.
To succeed in the role, you should have 15+ years of experience, gained in wealth management, custodian, or fiduciary businesses. Strong stakeholders’ engagement, resourceful, independent, and good business acumen are desirable traits.
Interested applicants, please apply with your updated resume. Your application will be treated with the strictest confidentiality.
EA Reg. No. R1105493 | EA Licence No. 16S7973