Director, Compliance (Investment & Insurance), Private Bank
A team lead role in Regulatory Compliance (Investment & Insurance focus) within private banking.
This is a world class bank with global presence and a comprehensive facility in private banking. This bank is currently seeking a Team Lead in regulatory compliance team (Investment & Insurance focus).
Your new role
You will act as the team lead to provide compliance support in the areas of investment and insurance under business. Work with relevant parties to analyse the potential impact of regulatory trends and developments of investment and insurance activities and effect the bank’s compliance with any new regulatory changes and developments. Liaise with the regulators to compliance matters and regulatory examinations relating to investment and insurance activities.
What you’ll need to succeed
You will have at least 10 years of related regulatory compliance, product compliance, product risk management experience in retail / private banking. Fluency in English and Chinese is required.
What you’ll get in return
You will be offered a great opportunity to develop your compliance career in this global private bank. Excellent career exposure, an attractive remuneration package will be provided.
What you need to do now
To apply for this role, click ‘apply now’. For a confidential discussion on this role or more career opportunities in private banking, please contact Tommy Li at Hays on +852 2230 7452 or email Tommy.Li@hays.com.hk
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Banking & Financial Services
Banking and Financial Services
Talk to a consultant
Talk to Tommy Li, the specialist consultant managing this position, located in Hong Kong
6604-06,66/F, ICC, 1 Austin Road West, West Kowloon