Newly Created Senior Compliance Position within Leading Global Investment Bank – Hong Kong (5 years+)
The Business
Our client is a first tier global investment bank that is rapidly expanding within the Asia Pacific Region. The division within which this vacancy has arisen supports the equity derivatives business and specifically the exotic trades team which offers sophisticated solutions to the bank’s international investors worldwide.
The Opportunity
This is a unique opportunity for a senior compliance professional seeking a role working closely with the front office on the trading floor. You will be an integral part of the business and gain exposure to cutting edge investment products.
This role is ideal for an individual with in-depth knowledge of the Asian equities market and experience handling compliance risks associated with exotic product trades. You will be responsible for identifying and eliminating operational risks and will need to demonstrate strong business as well as communication skills. Working at the forefront of the business, the successful candidate must be able to resolve or escalate issues whilst demonstrating a high level of service to all clients at all times.
The Requirements
Our client is seeking an accomplished compliance professional with at least 5 years of experience working in the financial markets, preferably within equity in a derivatives middle office function. Previous experience of managing a large group dealing with diverse issues and excellent derivative product knowledge a must.
To apply, please quote reference IS821 and forward your details in complete confidence to Tamara Attalla at hk@law-alliance.com or click here.
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