about the company
An established Bank with a strong presences across Asia Pacific, offering a resilient platform for ongoing professional growth. The organization operates as an established commercial entity, focusing on expanding its regional footprint.
about the job
Step into a key leadership function within the compliance team to oversee organizational governance and mitigate anti-money laundering risks.
- Direct daily compliance operations and enforce anti-money laundering (AML/KYC) standards.
- Formulate robust policies for statutory monitoring, institutional risk assessments, and internal audits.
- Act as the liaison for regulatory bodies regarding statutory reporting and legal obligations.
- Provide strategic counsel to senior stakeholders on local banking frameworks and regulatory updates.
- Supervise operational reviews and manage internal control procedures to safeguard corporate integrity.
...
skills and experience required
- Proven background in regulatory oversight, anti-money laundering controls, and implementation of a robust compliance programme
- Advanced understanding of regional banking regulations, compliance frameworks, and statutory reporting requirements.
- Track record managing regulatory inspections, audit evaluations, and direct authority communications.
- Strong leadership qualities with demonstrated experience guiding cross-functional governance teams.
- Sharp analytical capabilities combined with professional senior stakeholder management skills.
To apply online please use the 'apply' function, alternatively you may contact at .
(EA: 94C3609/ )