工作条件
本科, 硕士
全职
职位描述
Core Responsibilities
- Regulatory Reporting: Oversee and ensure timely submission of all regulatory and statutory reports to relevant authorities.
- Framework Review: Lead the review of compliance frameworks and policies to align with current regulatory requirements.
- AML/CFT Monitoring: Oversee the end-to-end AML/CFT framework, supervise transaction monitoring, and lead investigations into suspicious activities.
- STR Management: Review and approve Suspicious Transaction Reports (STR) for submission to regulators.
- Trade Surveillance: Monitor trading activities to detect market misconduct and lead investigations into suspicious trading behaviors.
- Leadership: Act as the primary liaison with regulators and auditors, and advise senior management on compliance risks.
Requirements
- Education: Degree or professional qualification from a recognized institution approved by the Government of Malaysia.
- Experience (One of the following):
- Minimum 3 years of direct experience as a Compliance Officer in capital markets.
- Minimum 5 years of relevant working experience in the capital market industry.
- Diploma holder with at least 8 years of relevant experience in the capital market.
- Expertise: Strong knowledge of securities and derivatives regulations, AML/CFT requirements, and industry best practices.
- Competencies: Proven experience in managing compliance functions, strong analytical skills, and high integrity.
Work Location: In person
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