Key Responsibilities
Lead and manage the compliance team.
Provide compliance advisory to IBD project teams & Institutional Sales team. Review key transaction documents to ensure full compliance with the SFC Code of Conduct, HKEX Listing Rules, and the Takeovers Code.
Redesign and oversee the Control Room framework. Manage the firm’s Restricted List, Watch List, and wall-crossing clearances.
Identify, evaluate, and timely implement updates in response to regulatory shifts (e.g., CSRC filing rules for overseas listings, SFC regulations on book-building and placing activities, and SPAC frameworks). Update internal Policies & Procedures (P&Ps) accordingly.
Act as a key point of contact for local and cross-border regulators. Manage regulatory enquiries, inspections, and thematic audits from the SFC and HKEX.
Ensure all IBD staff hold appropriate SFC licensing and meet CPT examination requirements. Deliver regular compliance and AML training tailored to corporate finance professionals.
Requirements
Bachelor’s degree in Law, Finance, Accounting, or a related discipline.
15+ years of solid compliance experience within an SFC-licensed corporation, investment bank, or financial regulator (SFC/HKEX).
Excellent analytical skills, high integrity, and the ability to confidently provide compliance advice to senior management and deal committees under pressure.
Professional fluency in English, Cantonese, and Mandarin.
Banking & Financial Services>Credit Analysis / Approval
Banking & Financial Services>Financial Services
Banking & Financial Services>Others
Banking & Financial Services>Others
HK$ -
Full Time