Job Openings Compliance Advisory - Director ( Securities Brokerage)

About the job Compliance Advisory - Director ( Securities Brokerage)

Director‑Compliance

Job Responsibilities

  • Handle licence applications, regulatory notifications, regulatory enquiries, complaints handling, surveys and maintain relevant compliance records
  • Conduct transaction monitoring, trade surveillance, name screening, and investigate suspicious transaction alerts
  • Develop compliance monitoring programmes; conduct periodic compliance reviews (including staff personal‑account dealing reviews) to identify compliance and internal control risks
  • Perform AML/KYC and account opening reviews; deliver customer due diligence (CDD) and periodic reviews for retail and institutional clients
  • Provide compliance advice on FATCA and CRS reporting requirements
  • Review marketing materials, client‑facing documents and regulatory notices
  • Deliver internal compliance training and maintain CPT records
  • Provide ongoing compliance advisory and transaction‑related guidance to business teams
  • Complete ad‑hoc compliance projects and special initiatives as required
  • Support Legal & Compliance administrative work: maintain regulatory documentation, coordinate compliance activities, ensure accurate record‑keeping for regulatory reporting and compliance

Job Requirements

  • Bachelor's degree in Business, Finance, Law or other related disciplines
  • 4‑6 years legal and compliance experience gained from brokerage firms or regulatory authorities
  • Fluent in written and spoken English, Cantonese and Putonghua (mandatory)
  • Solid communication and presentation skills
  • Proactive working style, good team player
  • Strong sense of responsibility, able to work under pressure

Immediate availability is highly preferred