VP, Equity Compliance, Boutique US Investment Bank

  • Negotiable
  • Hong Kong
  • CDI, Plein-temps
  • Profile Search & Selection Hong Kong
  • 16 nov. 17 2017-11-16

Our client is a boutique US Investment Bank with sales & trading, capital markets, financial advisory services, research & brokerage businesses. We are seeking an experienced compliance professional reporting to the Asia Compliance head.

Our client is a boutique US Investment Bank with sales & trading, capital markets, financial advisory services, research and brokerage businesses. They are seeking an experienced compliance professional reporting to the Head of Asia Compliance.

Based on the trading floor, responsibilities include but not limited to:

  • Providing timely compliance advice to the sales and trading teams across all business lines including equities, fixed income, investment banking and research
  • Building and maintaining relationships with the front office as well as other internal stakeholders
  • Providing training to the front office on regulatory and compliance matters

Seeking candidate with following qualification, background, experience and skill sets:

  • University degree level with excellent command of English
  • At least 7 years' relevant compliance experience gained from a major international investment bank or brokerage
  • Solid working knowledge of HK securities regulation, in particular relating to Equities. Experience in dealing with compliance and regulatory matters of other Asia jurisdiction will be an advantage
  • Excellent communication skills, proactive, engaging and team work oriented

If you have the right skillsets and experience please contact Laurence Munoz at lmunoz@profileasia.com or +852 3589 6326