Government Relations Manager

Longbridge HongKong

Hong Kong

On-site

HKD 400,000 - 700,000

Full time

5 days ago
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Job summary

Longbridge HongKong seeks a regulatory compliance professional to monitor SFC, HKMA, and other authorities, assess regulatory impacts, and help craft responses. You will work with cross-border teams to ensure timely implementation of new rules and prepare materials for inspections.

The role requires strong English and Chinese skills, policy sensitivity, and the ability to thrive in a fast-paced environment. This is a full-time position based in Hong Kong.

Qualifications

  • Bachelor’s degree or above in Finance, Law, Public Policy, or related disciplines.
  • Minimum 3-5 years of relevant experience; candidates with compliance/legal experience in financial institutions, Big Four accounting firms, law firms, or internship experience at SFC/HKMA are preferred.
  • Familiar with Hong Kong’s regulatory framework, understand the fundamentals of cross-border finance, and possess strong policy sensitivity.
  • Excellent information integration and analytical skills; able to independently draft analysis reports with proven experience in assisting with regulatory matters.
  • Detail-oriented communicator with strong execution ability and the capacity to thrive in a fast-paced environment.
  • Excellent command in written and spoken English and Chinese (including Cantonese and Mandarin).
  • Candidate will less experience will be considered as Assistant Manager

Responsibilities

  • Track regulatory developments from the SFC, HKMA, FSTB, and HKEX, across brokerage, asset management, and fintech sectors.
  • Assist in analyzing the impact of new regulations, participate in drafting responses to consultation papers, attend industry seminars, and record key points.
  • Assist in maintaining daily communication channels with regulatory authorities.
  • Handle data collection and initial drafting of responses to regulatory inquiries.
  • Coordinate with internal compliance, legal, and business teams on the internal implementation of new regulations and preparation of related materials.
  • Assist in liaising with the Mainland GR team and organize policy differences between the two regions.
  • Participate in preparing materials for cross-border inspections, monitor developments in cross-border financial policies, and provide basic information support to business departments.
  • Assist in monitoring regulatory-related public sentiment and collect industry cases.
  • Participate in pre-compliance assessments for new business projects and help organize risk reminder memos from a regulatory perspective.
  • Assist in other ad-hoc duties as assigned.

Skills

Policy sensitivity
Analytical skills
Information integration
Execution ability
English proficiency
Chinese proficiency

Education

Bachelor’s degree or above in Finance, Law, Public Policy, or related disciplines

Job description

Longbridge Securities was founded in March 2019 and is headquartered in Singapore. The company holds 22 financial licenses and qualifications across the United States, Hong Kong, Singapore and other regions, having secured over USD150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC)

Responsibilities
  • Track regulatory developments from the SFC, HKMA, FSTB, and HKEX, covering brokerage, asset management, and fintech sectors
  • Assist in analyzing the impact of new regulations, participate in drafting responses to consultation papers, attend industry seminars, and record key points
  • Assist in maintaining daily communication channels with regulatory authorities
  • Handle data collection and initial drafting of responses to regulatory inquiries
  • Coordinate with internal compliance, legal, and business teams on the internal implementation of new regulations and preparation of related materials
  • Assist in liaising with the Mainland GR team and organize policy differences between the two regions
  • Participate in preparing materials for cross-border inspections, monitor developments in cross-border financial policies, and provide basic information support to business departments.
  • Assist in monitoring regulatory-related public sentiment and collect industry cases
  • Participate in pre-compliance assessments for new business projects and help organize risk reminder memos from a regulatory perspective
  • Assist in other ad-hoc duties as assigned
Requirements
  • Bachelor’s degree or above in Finance, Law, Public Policy, or related disciplines
  • Minimum 3-5 years of relevant experience; candidates with compliance/legal experience in financial institutions, Big Four accounting firms, law firms, or internship experience at SFC/HKMA are preferred
  • Familiar with Hong Kong’s regulatory framework, understand the fundamentals of cross-border finance, and possess strong policy sensitivity
  • Excellent information integration and analytical skills; able to independently draft analysis reports with proven experience in assisting with regulatory matters
  • Detail-oriented communicator with strong execution ability and the capacity to thrive in a fast-paced environment
  • Excellent command in written and spoken English and Chinese (including Cantonese and Mandarin)
  • Candidate will less experience will be considered as Assistant Manager
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