Job Openings
Risk and Compliance Supervisor
About the job Risk and Compliance Supervisor
Responsibility:
- Interactions with regulators such as National Bank of Cambodia (NBC), Credit Bureau Cambodia (CBC), Compliance Committee for MFI and Leasing Companies
- Follow up on compliance reporting matters to NBC, CBC, Cambodia Microfinance Association (CMA), General Department of Taxation (GDT), and related ministries
- Monitor NBC correspondent letters (in/out)
- Liaison with the Groups for required signatories on official documents
- Monitor enforcement of anti-money laundering and combating the financing of terrorism (AML/CFT) policy
- Ensure Customer Due Diligence is conducted
- Carry out Risk Assessments
- Conduct Trainings
- Ensure compliance to Suspicious Transaction Reporting and prepare and co-ordinate effective reporting, escalation and resolution of AML/CTF Compliance updates to General Manager.
- Assist with internal or independent AML/CTF audit reviews of the business operations.
- Support process creating new policies, procedure and reinforce existing policies or procedures
- Create risk control guidelines for the Company
- Research, implement and manage the areas of banking regulations and laws, banking policy and procedure, consumer protection and public interest law
- Ensure the Company’s operations are consistent with local regulation, standard and best practice
- Analyze the gap between external and internal policies/procedures
- Update any new regulations to the whole Company and the Groups
- Support Internal Audit Committee
Qualification:
- Bachelor or Master degree in law, banking and finance, or related field
- At least two years of experience in the similar position
- An attention to details person
- A good communication person