
Regulatory Compliance Manager, Markets and Securities Services - Malaysia
- Kuala Lumpur
- Permanent
- Full-time
- To provide support to the Head of Regulatory Compliance (RC) and Corporate and Institutional Banking (CIB) in the containment of regulatory compliance risks. This includes ensuring proactive approach is taken for the identification of Regulatory Compliance risk change and potential impacts on the conventional and Islamic Banking Business Model in Malaysia.
- Continuous support to the Head of Regulatory Compliance (RC) and Corporate and Institutional Banking (CIB) in ensuring appropriateness / robustness / effectiveness of framework to monitor regulatory compliance developments impacting MSS in Malaysia.
- Support Head of Regulatory Compliance (RC) and Corporate and Institutional Banking (CIB) in the implementation of actions to address, manage and mitigate impacts of regulatory changes.
- Liaison with relevant stakeholders to provide expertise and support on all Regulatory Compliance related matters.
- To assist in interaction with Regulators and industry bodies in Malaysia, on Regulatory Compliance matters.
- To assist Head of Regulatory Compliance (RC) and Corporate and Institutional Banking (CIB) in ensuring the appropriate timely and relevant risk information is provided to MSS management and business risk forums.
- To assist in enhancing regulatory compliance awareness amongst MSS staff.
- To assist in monitoring changes to business practices and products/services and to ensure that regulatory compliance procedures and controls are adequate to cover them.
- To maintain a strong communication and working relationship with Business and other Risk Disciplines, Functions and Global Businesses to ensure implementation of new disciplines.
- Share best practice with group offices, other business lines and other regions.
- To maintain and develop positive and professional working relationships with the Compliance functions.
- Degree qualification of at least 5 years of regulatory compliance or relevant experience, preferably with regulatory compliance experience in Markets and Securities Services.
- Significant degree of professional independence.
- Strong team-player attitude.
- Excellent communication and inter-personal skills, with experience in dealing with stakeholders at various levels including the capacity to articulate the case for risk management and policy in the language of business.
- Ability to develop practical, cost effective solutions to complex issues.
- Experience in dealing with regulatory matters and confident interaction with Regulators.
- Consistent follow-through in ensuring corrective and mitigating actions are put in place or closed out.
- Pro-active in identifying regulatory compliance issues or developing appropriate recommendations/solutions.
- Good planning skills are required in order to perform his/her principal accountabilities and manage a varied workload on a timely basis.
- Practical and effective in providing advice to the relevant functions/businesses management.