Responsible Officer - Type 1&9 Asset Management

Michael Page International (Hong Kong) Limited

Hong Kong

On-site

HKD 900,000 - 1,300,000

Full time

14 days+
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Benefits offered by this job

Competitive remuneration package
Dynamic working environment

Job summary

Michael Page International (Hong Kong) Limited recruits a Lead Compliance & Governance Officer for a fast-growing SFC Type 1&9 asset management startup. You will oversee regulatory compliance, risk management, and internal controls to support growth in HK and Greater China.

The ideal candidate holds an SFC Type 1&9 RO, 5+ years in asset management or regulated firms, and strong English/Chinese communication. Collaborative leadership and meticulous attention to detail are essential.

Qualifications

  • Bachelor's Degree in business or relevant discipline.
  • Current SFC Type 1&9 RO holder with 5+ years in Hong Kong asset management or regulated environment.
  • Experience in supervisory, compliance, risk-management or senior management roles.

Responsibilities

  • Ensure compliance with local regulatory requirements and industry standards.
  • Oversee daily operations of banking and financial services activities.
  • Provide guidance on risk management and internal controls.

Skills

Regulatory compliance
Risk management
Leadership

Education

Bachelor's Degree in Business Administration or relevant discipline

Job description

  • Fast-Growing SFC Type 1&9 Asset Management Startup
  • Lead Compliance & Governance in a Growing Startup
About Our Client

Our client is a Hong Kong-based start-up asset management firm holding an SFC Type 1&9 (Asset Management) licence, focused on delivering investment management solutions across Hong Kong and Greater China. The firm is building its presence in the market with a strategic focus on Hong Kong and Mainland China, offering for Responsible Officer (RO) to join at a pivotal stage of growth and development

Job Description
  • Ensuring compliance with local regulatory requirements and industry standards.
  • Supervising the daily operations of banking and financial services activities.
  • Providing guidance on risk management and internal control measures.
  • Preparing and submitting regulatory filings and reports.
  • Monitoring and improving compliance frameworks and policies.
  • Conducting regular audits to ensure adherence to procedures.
  • Acting as the primary contact for regulatory bodies and external auditors.
  • Training staff on compliance and regulatory requirements.
The Successful Applicant
  • Bachelor's Degree holder of business administration or relevant discipline
  • Current SFC Type 1&9 RO holder, at least 5 years of working experience within Hong Kong asset management, fund management, investment management, securities, or regulatory compliance.
  • Solid working experience in supervisory, compliance, risk-management, or senior management responsibilities within an SFC-licensed corporation or financial institution.
  • Strong attention to detail, technical skills with clear and logical manner
  • Work collaboratively with team member
  • Strong quick learning ability to understand policies, procedures, systems, process and controls
  • Excellent of written and verbal communication skills in English and Chinese
What's on Offer
  • Competitive remuneration package
  • Dynamic working environment
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