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CCO_Compliance Officer

Date:  Nov 27, 2024
Location: 

Hong Kong, HK

Company:  Intesa Sanpaolo S.p.A.

Intesa Sanpaolo is the banking group leader in Italy. Assisting more than 14,6 milion of retail customers through a network of 5360 branches, it significantly supports the development of Companies and gives an important sustain to the country's growth. The Group has a selected retail banking presence in Central and Eastern Europe, the Middle East and North Africa, with approximately 1,000 branches and 7.2 million customers in 12 countries. Intesa Sanpaolo is also present in 25 countries in support of its corporate customers’ cross-border business. It is looking for new qualify profiles who want to face demanding and challenging career path with the following requirements: 

Scope and Purpose

 

  • Coordinating regulatory requests information (inspections/incident reporting/ information requests/ surveys/ self-assessments and other ad hoc requests);
  • Tracking and disseminating regulatory updates to business units for necessary actions;
  • Handling registration, de-registration of Relevant individual & Responsible Officer and corporate licensing related to regulated activities;
  • Conduct an initial review of electronic and audio communications surveillance alerts to monitor for market abuse risk;
  • Provide advisory to employees on the company’s personal trading policy;
  • Conducting quality assurance and samples testing based on the second level controls framework;
  • conduct enhanced due diligence on high risk client on-boarding requests, including identification and assessment of any financial crime risksconduct enhanced due diligence on high risk client on-boarding requests, including identification and assessment of any financial crime risks, reputational risks and the plausibility and corroboration of source of wealthconduct enhanced due diligence on high risk client on-boarding requests, including identification and assessment of any financial crime risks, reputational risks and the plausibility and corroboration of source of wealthManaging reporting information and risk assessment flows towards Head Office Compliance, and providing compliance advisory for day to day business activities;
  • Supporting the Local Compliance Officer in monitoring remedial actions and timely update and report Head Office Compliance.

Required Experience

 

  • 2-3 years of Compliance advisory experience either in banks/financial institutions/local regulators;
  • Sound Knowledge of the HKMA, SFC and Banking regulations with strong analytical, technical and problem-solving skills

Required Qualifications, Skills and Knowledge

 

  • University degree in law, finance and/or economics;
  • Deep understanding of the Hong Kong regulatory environment and Knowledge of international Compliance regulations and practices;
  • Ability to research laws and regulations and provide advice on the applicability within a given environment;
  • Knowledge of financial institutions, correspondent banking and trade finance products and services;
  • Positive attitude towards colleagues and the organisation to ensure seamless communication;
  • Chinese fluent (both written and spoken); English fluent (both written and spoken), Italian is an advantage;
  • Excellent detailed-oriented skill set; Strong analytical and problem-solving capabilities; Excellent detailed-oriented skill set;
  • Ability to synthetize large volume of information and identify key issues, and to produce high quality work within challenging deadlines.

 

Everyone is an asset for our Group and that person could be you! Check out our job opportunities, apply and join our team!

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