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    3 results for Regulatory Compliance Senior Manager Vp Banking

    Vice President- IBD Compliance <p><strong><span style="text-decoration: underline;">The Company</span></strong></p><p>My client is a leading financial institution committed to maintaining the highest standards of regulatory compliance and ethical business practices. We are looking for an experienced <strong>Senior IBD Compliance Officer</strong> to join our Compliance team and support our Investment Banking Division (IBD).</p><p> </p><p> </p><p><strong><span style="text-decoration: underline;">The Role</span></strong></p><ul><li><strong>Provide strategic compliance guidance</strong> to investment bankers and senior management on regulatory requirements, policies, and best practices.</li><li><strong>Ensure adherence</strong> to global and regional regulatory frameworks, including SEC, FINRA, FCA, MiFID II, and other relevant financial regulations.</li><li><strong>Develop, implement, and enhance compliance policies and procedures</strong> to mitigate regulatory and reputational risks.</li><li><strong>Conduct compliance risk assessments</strong> and proactively identify areas for improvement.</li><li><strong>Review and approve client communications, deal-related materials, and marketing documents</strong> to ensure compliance with regulatory standards.</li><li><strong>Oversee conflicts of interest management</strong>, including information barriers, insider trading prevention, and restricted lists.</li><li><strong>Lead compliance training programs</strong> for investment bankers and relevant stakeholders on key regulatory topics.</li><li><strong>Monitor and conduct surveillance</strong> of IBD activities, identifying and escalating potential compliance breaches.</li><li><strong>Support regulatory inquiries, audits, and examinations</strong>, ensuring timely and accurate responses.</li><li><strong>Collaborate with legal, risk management, and other compliance teams</strong> to maintain a robust compliance framework.</li></ul><p> </p><p> </p><p><strong><span style="text-decoration: underline;">Your Profile</span></strong></p><ul><li><strong>Bachelor's degree in Finance, Law, Business, or a related field</strong>; an advanced degree or relevant certifications (e.g., CAMS, CFA, JD, or FINRA licenses) is a plus.</li><li><strong>10+ years of compliance experience</strong> within investment banking, capital markets, or a regulatory agency.</li><li><strong>Strong knowledge of investment banking regulations</strong>, including SEC, FINRA, FCA, MiFID II, and other global regulatory frameworks.</li><li><strong>Proven experience in advising senior stakeholders</strong> and handling complex compliance matters.</li><li><strong>Excellent analytical and problem-solving skills</strong>, with the ability to assess regulatory risks and provide practical solutions.</li></ul><p> </p><p> </p><p><strong><span style="text-decoration: underline;">Apply Today </span></strong></p><p>To apply online (Word attachment only), please click the 'Apply' button. Please note that only short-listed candidates will be contacted.</p><p> </p><p> </p><p><em>Reference No. 67010-0013177993</em></p><p> </p><p><em>By clicking 'apply', you give your express consent that Robert Half may use your personal information to process your job application and to contact you from time to time for future employment opportunities. For further information on how Robert Half processes your personal information and how to access and correct your information, please read the Robert Half privacy notice: https://www.roberthalf.com.hk/privacy-statement. Please do not submit any sensitive personal data to us in your resume (such as government ID numbers, ethnicity, gender, religion, marital status or trade union membership) as we do not collect your sensitive personal data at this time.</em></p><img src="https://counter.adcourier.com/QWRhLkNoZXVuZy4xNzk1OS4xMDkxNUByaGloay5hcGxpdHJhay5jb20.gif"> Company Secretary (Financial Service Sector - VP Level) <p><strong><span style="text-decoration: underline;">The Company</span></strong></p><p> My Client is a Global Investment Manager offers a wide range of investment solutions including equities, fixed income, multi assets and alternative investments.</p><p> </p><p> </p><p> <strong><span style="text-decoration: underline;">The Role</span></strong></p><p><strong>Corporate Governance &amp; Compliance</strong></p><ul><li>Ensure compliance with all statutory and regulatory requirements under [Applicable Laws and Regulations, e.g., Companies Ordinance, SFC Regulations].</li><li>Maintain and update the company's statutory registers, records, and filings with regulatory authorities.</li><li>Advise the Board of Directors and senior management on corporate governance best practices.</li><li>Ensure timely filing of annual returns, resolutions, and other corporate documents.</li><li>Act as the liaison with regulators (e.g., Securities and Futures Commission, Stock Exchange, Monetary Authority) and external auditors.</li></ul><p><strong> </strong></p><p><strong>Board &amp; Committee Support</strong></p><ul><li>Organize and coordinate Board and Committee meetings, including preparing agendas, board packs, minutes, and resolutions.</li><li>Ensure that directors are properly briefed on governance and compliance obligations.</li><li>Maintain accurate records of board decisions, policies, and corporate actions.</li></ul><p><strong> </strong></p><p><strong>Corporate Secretarial Duties</strong></p><ul><li>Manage the incorporation, dissolution, and restructuring of entities within the group.</li><li>Oversee shareholder communications and maintain the company's share register.</li><li>Ensure the proper execution and safekeeping of legal documents and contracts.</li></ul><p><strong> </strong></p><p><strong>Risk &amp; Regulatory Compliance</strong></p><ul><li>Monitor regulatory updates and assess their impact on the company's operations.</li><li>Develop and implement corporate policies and procedures in line with regulatory expectations.</li><li>Assist in the preparation of annual reports, disclosures, and corporate governance statements.</li></ul><p> </p><p> </p><p><strong><span style="text-decoration: underline;">Your Profile</span></strong></p><ul><li><strong>Qualifications &amp; Experience</strong></li></ul><p>Bachelor's degree in Law, Finance, Business Administration, or a related field.</p><p>Chartered Secretary (HKICS/ICSA/CGI) certification or equivalent is preferred.</p><p>Minimum 8 years of experience in a corporate secretarial role, ideally within the financial services industry (e.g., asset management, private equity, hedge funds, investment banking).</p><ul><li><strong>Skills &amp; Competencies</strong></li></ul><p>Strong knowledge of corporate governance, regulatory compliance, and financial services laws.</p><p>Excellent organizational and communication skills with the ability to interact with senior stakeholders and regulators.</p><p>High level of attention to detail, discretion, and integrity.</p><p>Ability to work independently and manage multiple priorities under tight deadlines.</p><p>Proficiency in Microsoft Office Suite and corporate governance software.</p><p> </p><p> </p><p><strong><span style="text-decoration: underline;">Apply Today </span></strong></p><p>To apply online (Word attachment only), please click the 'Apply' button. Please note that only short-listed candidates will be contacted.</p><p> </p><p> </p><p><em>Reference Number: </em><em>67010-0013166375</em></p><p><em>By clicking 'apply', you give your express consent that Robert Half may use your personal information to process your job application and to contact you from time to time for future employment opportunities. For further information on how Robert Half processes your personal information and how to access and correct your information, please read the Robert Half privacy notice: https://www.roberthalf.com.hk/privacy-statement. Please do not submit any sensitive personal data to us in your resume (such as government ID numbers, ethnicity, gender, religion, marital status or trade union membership) as we do not collect your sensitive personal data at this time.</em></p><img src="https://counter.adcourier.com/amVzc2ljYS55ZXVuZy4yNTg1OC4xMDkxNUByaGloay5hcGxpdHJhay5jb20.gif"> Compliance Manager <p><strong><span style="text-decoration: underline;">The Company</span></strong></p><p>My client, a leading hedge fund manager, is currently seeking a Compliance Manager to enhance and support their Legal and Compliance functions. This role offers an excellent opportunity to work in a dynamic and fast-paced environment, ensuring the firm's adherence to regulatory requirements and industry best practices.</p><p> </p><p> </p><p><strong><span style="text-decoration: underline;">The Role</span></strong></p><ul><li>Assist the Legal and Compliance teams with their operations and initiatives.</li><li>Manage, refine, and strengthen the firm's global compliance monitoring and surveillance frameworks to uphold adherence to relevant regulations.</li><li>Track and support the implementation of regulatory updates across multiple jurisdictions, including HK SFC, US SEC, Japan FSA, and the Cayman Islands Monetary Authority.</li><li>Oversee the firm's compliance policies and procedures by maintaining documentation, conducting internal audits, and performing compliance gap analyses.</li><li>Prepare and submit regulatory filings, reports, and notifications to authorities such as HK SFC, US SEC, and other applicable entities.</li><li>Keep records and conduct surveillance of the firm's trading and business activities, covering areas such as:</li><li>Support the development and organization of compliance training materials, assist in conducting training sessions, and help compile legal research across different jurisdictions.</li></ul><p> </p><p> </p><p><strong><span style="text-decoration: underline;">Your Profile</span></strong></p><ul><li>Bachelor's degree in Law, Finance, or Business Administration from an accredited university (Law degree preferred).</li><li>Proficiency in both spoken and written English is essential; Japanese language skills (written and verbal) are an advantage.</li><li>At least two years of relevant experience in legal and/or compliance roles within a regulated financial institution or securities regulatory agency (e.g., HK SFC).</li><li>Prior experience in hedge funds or alternative investment firms is strongly preferred, along with familiarity with securities products.</li><li>Seeking a proactive and mature candidate with strong analytical abilities, excellent communication skills, and the capacity to handle multiple tasks independently in a fast-paced environment.</li><li>Highly detail-oriented with a strong focus on accuracy.</li><li>Must be capable of professionally engaging with regulators and industry peers, including representing the firm at industry events.</li></ul><p> </p><p> </p><p><strong><span style="text-decoration: underline;">Apply Today </span></strong></p><p>To apply online (Word attachment only), please click the 'Apply' button. Please note that only short-listed candidates will be contacted.</p><p> </p><p> </p><p><em>Reference No. 67010-0013179811</em></p><p> </p><p><em>By clicking 'apply', you give your express consent that Robert Half may use your personal information to process your job application and to contact you from time to time for future employment opportunities. For further information on how Robert Half processes your personal information and how to access and correct your information, please read the Robert Half privacy notice: https://www.roberthalf.com.hk/privacy-statement. Please do not submit any sensitive personal data to us in your resume (such as government ID numbers, ethnicity, gender, religion, marital status or trade union membership) as we do not collect your sensitive personal data at this time.</em></p><img src="https://counter.adcourier.com/QWRhLkNoZXVuZy44MTkwMi4xMDkxNUByaGloay5hcGxpdHJhay5jb20.gif">