Vice President, Regulatory Compliance Description Your new role In this role, you will be responsible for executing Regulatory Compliance policy process and bridge between the bank’s functions and the regulators.
You will also follow BNM guidelines closely and advise Security unit heads on the best way to implement controls within their departments.
Besides that, identification of any Compliance or risk changes within the businesses and their potential impacts should be highlighted to upper management.
Not only that, you will also assess the implementation of the approved policies as well as support the business in implementing market product suitability, sales and system enhancements.
As someone who will provide leadership to the team, you will take proactive approaches in implementing policies and systems as required in order to reduce the exposure of non-
compliance and reputational risks. You will also develop the team to enable them to work proactively while adding value to the bank.
What you'll need to succeed The ideal candidate will have had at least 10 years of experience within Compliance with a focus on Regulatory Compliance, particularly in Securities.
You will be familiar with BNM guidelines and able to advise business functions and handle stakeholders. You would have a curious and inquisitive mind and is proactive in nature.
plus a generous employee benefit package. You’ll receive training and on boarding support along with numerous career opportunities.
You’ll enjoy a high-performing and transparent working environment with modern tools and technology to get your job done and a team of hardworking, ambitious, like-
minded individuals supporting you. Country Malaysia Company MNC Banking and Financial Services Providers Salary Up to US$80,000 Working Hours Full-
Time Contract Permanent Categories Financial Operations Industries null, null