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Responsibilities • Work with the Global Markets Admin team, overseeing the various risk & control issues and deliverables • Contribute strategic planning for this group and overall desk support requirements. • Work closely with the global BRC team to ensure the right checks and controls are covered • Engage the desk and middle office managers on joint issues to ensure consistency of focuses and best practices • Liaise with the relevant technology managers to ensure system efficiencies are realized and control issues are included in the application requirements • Analyse existing business practices, identify opportunities for improvement and implement best practice procedures • Build business relationships across all the Global Markets products for issues such as Information Security, Business Continuity, Record retention, regulatory issues, control testing, etc • Team responsibilities: - Manage day-to-day control and regulatory issues which will aid business expansion and opportunities
- Ensure business projects and initiatives are in line with business goals and completed
- Provide guidance to team members on day-to-day issues
- Play an important role in clarity of team and individual responsibilities and work with others to ensure team tasks are completed
- Ensure collective effort from team members in opportunities for process improvements and efficiency planning
Requirements • University Degree or equivalent • 7 years of Internal Audit, Compliance or Business Unit Manager experience, preferably at least 5 years of financial markets experience • Strong knowledge in FSA, METI and MAFF regulations, especially the regulatory returns • Experience in Equity & Fixed Income market • Working knowledge of the various products traded • Independent, result-oriented, dedicated worker, team player and capable to work under pressure Languages • Fluent English and Japanese Location • Hong Kong
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