Compliance Assurance Manager
- Tp Hồ Chí Minh
- Lâu dài
- Toàn thời gian
- Assist Compliance Assurance Head to execute Regulatory Risk Assessment and Annual Compliance Review Plan
- Assist Compliance Assurance Head to set up key process and procedures in RRA to ensure compliance with all applicable laws and regulations of the SBV and relevant regulators
- Enhance compliance review and monitoring framework to monitor, test and report status of regulatory compliance
- Conduct testing to ensure product-related materials, advertising, marketing and sales promotion materials in compliance with regulatory requirements and Group policies
- Conduct testing to ensure compliance with all relevant Anti-Money Laundering and Anti-Bribery & Corruption regulations, laws and Group policies
- Provide oversight on handling regulatory reporting to ensure timely reports to the SBV and relevant regulators
- Assist Compliance Assurance Head to manage regulatory compliance with applicable legislations, rules and regulations that govern banking operations in Vietnam, as well as those of Group policies, standards, and international best practices for compliance operations; and
- Assist Compliance Assurance Head to provide adequate oversight to ensure that the Bank has effective control environment to minimize compliance risk.
- Facilitate a robust assessment of main compliance risks by identifying and maintaining an inventory of all applicable Compliance Laws, Rules and Standards in a risk and control self-assessment framework in collaboration with the Business / Support Units and with the support of internal/external legal counsel where appropriate.
- Identify, assess and document compliance risks associated with the business activities of the Bank, including new products, services, business practices and business operations as well as material changes to existing business and customer relationships, etc.
- Assist Country Head of Compliance / Compliance Assurance Head in educating relevant staff on compliance issues, and act as a contact point for compliance related queries from staff.
- Provide advice, guidance and on-going training to staff to implement compliance framework, policies and procedures as assigned
- Monitor, test and report compliance with relevant compliance risk management framework and internal policies/procedures to Group Compliance, and, if required, to any regulatory authority; and
- Others as assigned by Compliance Assurance Head.
- Bachelor’s degree in legal and/or banking and/or audit.
- At least 05 years of experience in Banking, KYC and AML solutions
- Good analytics and problem-solving skills
- Ability to work in a fast-paced and team-oriented environment.
- A strong and assertive communicator in speaking & writing.
- Legal background.