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Manager, AML Reporting & Compliance Client Services

Manager, AML Reporting & Compliance Client Services

Corporation Service CompanyHong Kong
30 天前
职位类型
  • serp_jobs.job_card.full_time
职位描述

Manager, AML Reporting & Compliance Client Services

Hong Kong

Monday - Friday, 9am - 6pm

Hybrid

Some of the things you’ll be doing :

  • Serves as the designated AML compliance officer, money laundering reporting officer and / or deputy money laundering reporting officer to client entities, with the corresponding duties and responsibilities prescribed by Cayman law
  • Serve as the designated point of contact with the supervisory and other competent authorities to oversee client AML / CFT compliance function and respond promptly to requests for information by the authorities
  • Review client AML / CFT programs, including control mechanisms, P&Ps, and processes, and perform a gap analysis against Cayman statutory and regulatory requirements
  • Ensure that client AML / CFT programs are tested on a regular basis in compliance with Cayman statutory requirements
  • Maintains various logs, as necessary, which should include logs with respect to declined business, politically exposed persons, and requests from competent authorities
  • Conduct thorough risk assessments and periodic reviews to identify, assess, and manage AML risks associated with client operations
  • Stay abreast of legislative and regulatory changes that impact AML compliance requirements, interpreting and integrating these changes into client policies and procedures
  • Provide regular updates to those charged with governance of client entities in relation to compliance with applicable AML / CFT laws and regulations, including recommending amendments to reflect Cayman requirements from time to time

What technical skills, experience, and qualifications do you need?

  • Master’s degree or equivalent with a professional anti-money laundering qualification and a minimum of 7 years’ experience in a similar role with at least 2 being at senior management level
  • At least 5 years of experience with designing and maintaining risk, compliance, and assurance programs in the financial services industry
  • Demonstrate a broad technical knowledge and expertise covering the conduct of business matters, corporate governance matters, and regulatory risk and regulatory change matters
  • Experience in successfully working to deadlines
  • Experience in effectively working as part of a team
  • Preferred experience working with / analyzing KYC / CDD
  • CAMS / CFCS preferred
  • Comprehensive understanding of regulatory landscape in the Cayman Islands and strong familiarity with global AML frameworks
  • Advanced knowledge of Microsoft Office Suite