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Risk Compliance
Our Risk and Compliance function focuses on delivering effective risk management with strong subject matter expertise to facilitate safe and sustainable business growth. Our team actively manages a dynamic range of risk types. We collaborate closely with businesses, functional units, and regulatory bodies, to embed an effective and comprehensive risk management framework, helping us remain a trusted partner to our customers, our investors, our regulators, and the community that we serve.
We are currently seeking a high caliber professional to join our department as Compliance and Control Manager, Wealth Personal Banking (Insurance).
Principal responsibilities
Provide compliance advice on regulatory, product, sales process, conduct, controls monitoring and marketing materials etc., to ensure full compliance with the relevant regulatory requirements and Group Standards.Provide recommendations to ensure that exposure to regulatory risks/issues are managed in a practical and effective manner.Working with the Head of Regulatory Compliance WPB Insurance and relevant stakeholders to create an effective Compliance plan to manage the identified risks and develop solutions for mitigation.Review and advise on the rules / regulations / consultation papers issued by regulatory authorities to ensure timely and effective implementation.Assist in fostering the compliance culture of the Bank.Support the implementation and oversight of the businesses' policy and governance frameworks, procedures, practices and standards to ensure quality, effective risk management and regulatory compliance.