工作机会
>
Hong Kong

    VP, AML Compliance Officer - Hong Kong, 香港 - Citi

    Citi
    Default job background
    全职
    描述

    The Compliance AML Execution Lead Analyst is senior professional responsible for performing risk and compliance reviews in coordination with the broader Anti-Money Laundering (AML) team. The overall objective is to utilize in-depth AML knowledge to review, analyze and conduct effective due diligence and investigations on higher risk cases that may be a potential risk to Citi. Responsibilities may also include review of cases completed by Analysts for timeliness and accuracy, coaching/training team members, as required, and assisting management in exams/audits, and mitigating operational risks.

    Responsibilities:

  • Conduct investigations and research on potentially suspicious clients using various internal and external systems and databases
  • Conduct Cross Sector reviews among multiple Citi business lines.
  • Document and report the review/investigation findings and prepare case files with the required supporting documentation
  • Summarize, in writing, clear and concise findings of the investigations
  • Advise senior management on next steps and provide recommendations on the next course of action (relationship retention, termination, Suspicious Activity Report (SAR))
  • Manage risks by analyzing the root cause of issues and impacts to business
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.
  • This role my also be responsible for:

  • Review AML cases completed by Analysts to ensure that any material AML risks have been mitigated and case documentation is in accordance with the unit's policies and procedures.
  • Carry out SAR Reporting Officer responsibilities by Reviewing/Approving Suspicious Activity Reports (SARs) drafted by Analysts consistent with FinCEN requirements.
  • Ensure SAR related regulatory timelines and requirements are followed by the team (i.e., 30 days for SAR; 120 days for supplemental SARs).
  • Review/Approve post-investigative actions recommended by Analysts, including relationship termination, Risk Rating Override, and KYC Feedback Loop.
  • Ensure that all errors and deficiencies identified by the Quality Assurance Team have been remediated.
  • Conduct personalized one-on-one or group mentoring sessions to explain processes, red flags, investigative strategies, techniques, changes in procedures, emerging trends and managerial directives.
  • Assist Analysts in overcoming performance related challenges.
  • Lead or assist with ad-hoc AML related projects.
  • Assist management with regulatory exams and other third-party reviews (e.g., IA, CA).
  • Perform complex, cross-sector, and/or high-risk reviews involving unusual transactional patterns, significant negative news, intricate business relationships, potential network activity, prominent/high-profile clients, entities designated as SDN/money laundering concern, and other sensitive matters.
  • Manage/mitigate operational risks by analyzing the root cause of issues and impacts to business, make recommendations to Senior Management on process and control enhancements.
  • This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.

    Qualifications:

  • 6 -10 years of experience
  • 4+ years of experience in drafting and/or approving Suspicious Activity Reports (SARs) in accordance with applicable regulatory requirements
  • Understanding of advanced money laundering typologies and techniques, and investigative practices for detecting such activity
  • Ability to operate with a limited level of direct supervision
  • Ability to exercise independent judgement and autonomy
  • Proficient in MS Office
  • Proven analytical skills
  • Effective verbal and written communication skills
  • Comprehensive knowledge of AML regulations preferred
  • Responsible for volume, quality and timeliness of work product
  • Follows procedures and identifies opportunities to strengthen controls
  • Learns from experiences, adapts and improves, and welcomes challenge from others on processes and decisions
  • Takes ownership and accountability for delivering outcomes, takes responsibility for own work
  • Succeeds together: Builds strong relationships with stakeholders
  • Education:

  • Bachelor's/University degree, Master's degree preferred
  • Job Family Group:

    Compliance and Control

    Job Family:

    AML Execution

    Time Type:

    Full time



  • Bloomberg Hong Kong, 香港 全职

    Bloomberg's Legal & Compliance Department plays a critical role in supporting our businesses and operations around the world. We move quickly and thoughtfully to help address a variety of complex issues that come with being the world's leading financial news and information compa ...


  • Micro Connect (H.K.) Investments Limited Hong Kong, 香港 全职

    Report to General Counsel of Micro Connect Group and assist GC to look after group compliance matters · Help group manage risks and avoid lawsuits by ensuring business operations are performed in compliance with laws and local regulations · Develop company policies, create metric ...


  • FortisHill Consulting Limited Hong Kong, 香港 全职

    Responsibilities: · General Compliance: · Assist in handling product compliance matters, including preparing relevant filings to regulatory authorities such as the SFC for UT Code changes, reviewing marketing materials for HK SFC authorized funds, SICAV, and PE funds. · Conduct g ...

  • Danos Group

    Compliance Officer

    5小时前


    Danos Group Hong Kong, 香港 全职

    Responsibilities · • Partner closely with management and business units to interpret complex regulations · • Stay on top of regulatory requirements and communicate any changes to the management · team. · • Develop and maintain compliance strategies and implement effective compl ...


  • Bloomberg Hong Kong, 香港

    Compliance Officer - Regulatory Mapping, Hong Kong (6 month contract) · Hong Kong · Posted Apr 29, Requisition No · Bloomberg's Legal & Compliance Department plays a critical role in supporting our businesses and operations around the world. We move quickly and thoughtfully to ...

  • iCapital

    Compliance Officer

    5小时前


    iCapital Hong Kong, 香港 全职

    Responsibilities · Support the development of a compliance strategy and guidelines to support the firm's growth across APAC in a sustainable and compliant way. · Work closely with senior management, colleagues, regulators, and external partners & stakeholders to anticipate risks ...


  • Valuable Capital Limited Hong Kong, 香港 全职

    Responsibilities: · Handle SFC licensing matters including but not limited to delisting or relisting applications; · Perform compliance control and monitoring programs including but not limited to control room, AML checking, and trade surveillance; · Handle the third-party and VI ...


  • Taikang Asset Management (Hong Kong) Co. Ltd. Hong Kong, 香港 全职

    Taikang Asset Management (Hong Kong) Co. Ltd., (hereafter as "Taikang Asset (HK) or "the Company"), is a wholly-owned subsidiary of Taikang Asset Management Co., Ltd. (hereafter as "Taikang AMC") was incorporated in Hong Kong in 2007, now holding SFC licenses Type 1 (Dealing in S ...


  • Aptitude Asia Hong Kong, 香港 全职

    Job Responsibilities: · Facilitate and monitor compliance with the firm's Code of Conduct and other core compliance policies. · Review employee disclosures, personal account dealings, and gifts and entertainment requests to identify potential conflicts of interest. · Serve as the ...


  • Jane Street Hong Kong, 香港 全职

    About the Position · We are looking for an Advisory Compliance Officer to join our Hong Kong team. You will work closely with internal business groups to identify, advise, analyze and resolve regulatory reporting and compliance issues relating to Jane Street's Asian Business. Thi ...


  • Zurich Insurance Company Hong Kong, 香港

    Job Responsibilities: · An excellent opportunity for gaining experience in compliance assurance activities. · Promote ethical and proper business practices via assurance review in various areas like dealing insecurity, anti-trust and fair competition, AML, data privacy, distribu ...


  • Zurich Insurance Company Ltd. HongKong, 香港

    Job Responsibilities: · An excellent opportunity for gaining experience in compliance assurance activities. · Promote ethical and proper business practices via assurance review in various areas like dealing insecurity, anti-trust and fair competition, AML, data privacy, distribut ...


  • One Paramount Recruitment Limited Hong Kong, 香港 全职

    Responsibilities: · Ensure investment compliance primarily with the use of the trading system · Code investment restrictions and guidelines into the trading system for pre-trade and post-trade compliance monitoring. · Flag, resolve and report both active and passive investment b ...


  • Corporation Service Company Hong Kong, 香港 全职

    Officer, Regulatory Compliance Services · Hong Kong · Mon - Fri, 9am - 6pm · Hybrid · The position · Our Regulatory and Compliance Services (RCS) ensure our clients to meet both their local and global regulatory needs and provide customized support to keep our clients informed ...


  • Citi Hong Kong, 香港 全职

    Whether you're at the start of your career or looking to discover your next adventure, your story begins here. At Citi , you'll have the opportunity to expand your skills and make a difference at one of the world's most global banks. We're fully committed to supporting your grow ...


  • 11062 Citibank, N.A. Hong Kong Hong Kong, 香港 全职

    The Compliance AML Execution Lead Analyst is senior professional responsible for performing risk and compliance reviews in coordination with the broader Anti-Money Laundering (AML) team. The overall objective is to utilize in-depth AML knowledge to review, analyze and conduct eff ...


  • The Bank of East Asia Hong Kong, 香港 全职

    Responsibilities · Provide support to branch staff according to the regulated investment products sales process · Assist the planning and development of regulated investment products sales process for branches · Provide support on control and monitoring program related to risk & ...


  • Citi Hong Kong, 香港 全职

    Whether you're at the start of your career or looking to discover your next adventure, your story begins here. At Citi , you'll have the opportunity to expand your skills and make a difference at one of the world's most global banks. We're fully committed to supporting your grow ...


  • Citi Hong Kong, 香港 全职

    The Compliance Product Senior Officer - SVP role sits within Citi's Independent Compliance Risk Management (ICRM) group based in Hong Kong. · The successful candidate will work as part of the CCB Product ICRM team helping to execute in their day-to-day activities, which typically ...


  • 11062 Citibank, N.A. Hong Kong Hong Kong, 香港 全职

    The Compliance Product Senior Officer - SVP role sits within Citi's Independent Compliance Risk Management (ICRM) group based in Hong Kong. · The successful candidate will work as part of the CCB Product ICRM team helping to execute in their day-to-day activities, which typically ...