Review day to day AML related enquires from different business units and provide advice in accordance with FWD group standards, local policies and procedures, and adherence to applicable legislations and regulations under a risk-based approach.
Participate in different initiates and projects and provide regulatory guidance according to business’ needs.
Review all materials including forms, procedures, AML assessments and any other communication to client triggered from enquires, initiatives and projects.
Participate in review of high risk clients escalated from EB and Life Operation and perform relevant risk assessment according to FWD group standards and applicable legislations and regulations.
Answer enquires from different business units on ABC Compliance program.
Review and provide comments on all submission in the G&H log.
Provide cover and support to other teammates.
Any ad hoc assignments or tasks that may delegated from time to time.
Bachelor Degree in law, accounting or business.
Professional qualification in law or accounting is an asset.
At least 6 years of compliance related working experience in financial institutions in Hong Kong with at least 2 years in insurance industry.
Familiar with insurance related legislations and regulatory requirements in Hong Kong and Bermuda.
Fluent in written and spoken English & Cantonese.
Detailed person with strong analytical and research skills.
Good interpersonal, presentation and communication skills.
Able to work under pressure and meet all deadline.
Able to work independently and as a team player.
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