Regulatory Compliance Lead

Boost Holdings Sdn Bhd

Kuala Lumpur

On-site

MYR 180,000 - 320,000

Full time

14 days+
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Job summary

Boost Holdings Sdn Bhd is seeking a Regional Regulatory Head to guide regulatory strategy and secure favorable outcomes for ADE in digital financial services. You will provide regulatory advice, plan strategically, and manage key stakeholders including regulators.

You will act as the liaison for licensing, compliance, and regulatory issues across the group. The role requires extensive experience in compliance, internal audit, risk management or legal within financial services, with strong

Qualifications

  • 8+ years in compliance, internal audit, risk management or legal in financial services.
  • Experience within digital financial services is preferred.
  • Strong knowledge of applicable regulations and best practices.

Responsibilities

  • Advise business teams on regulatory parameters for partnerships and products.
  • Review terms of partnership arrangements for regulatory compliance.
  • Prepare submissions to obtain or renew licenses and track approvals.
  • Prepare responses to regulator queries and internal stakeholders.
  • Review and update internal policies to meet regulatory obligations.
  • Support reporting and record-keeping for compliance requirements.

Skills

Regulatory compliance
Stakeholder management
People management
Risk management
Legal knowledge

Education

LL.B or equivalent

Tools

Audit software

Job description

Support Regional Regulatory Head in ensuring optimal regulatory outcomes for ADE in relation to digital financial services, through regulatory advice, strategic regulatory planning and effective stakeholder management.

Act as a resource to the Group regulatory function and business teams on matters relating to regulatory regimes governing financial services. Act as the contact point for regulators and external stakeholders relevant to licensing, compliance, and regulatory issues; Engage with internal stakeholders to ensure alignment with internally established policies and standards relating to business activities governed by regulations, and responsible to prepare awareness content on compliance-related matters.

To provide operational support in conducting and overseeing periodic internal reviews and assurance exercises to ensure that compliance procedures are followed. Provide effective updates to senior management on regulatory matters

Key responsibilities

Advise business teams on regulatory parameters applicable when engaging in partnerships and developing products (where appropriate, in collaboration/ consultation with our legal team).

Advise on partnerships and products to ensure compliance with regulatory or internal policy requirements and review terms and conditions of partnership arrangements.

Prepare submissions to secure/ renew/ maintain the relevant approvals / licenses and tracking of regulatory approvals and notifications.

Prepare responses to queries from regulators and other external as well as internal stakeholders.

Review / revise internal policies and processes to assist the business in identifying, tracking and meeting its regulatory responsibilities and any related obligations, and engage with relevant internal stakeholders to ensure understanding and implementation of relevant compliance responsibilities.

Support relevant internal stakeholders on implementation of necessary reporting and record-keeping to ensure compliance with regulatory requirement.

About you

At least 8 years’ working experience in either compliance, internal audit, risk management or legal position in financial service industry preferably within digital financial services segment with good knowledge of applicable financial services regulations and best practices as well as relevant product knowledge experience.

5 years of people management skills with various compliance functions within the team.

Familiarity with financial services, including e-Money, merchant acquiring business and digital financing.

Ability to apply principles and theory to real situations and offer practical solutions.

Experience in compliance, internal controls & regulatory reporting will be an advantage.

Experienced in planning, executing, and reporting on compliance testing reviews and regulatory issue validation activities.

Working knowledge of tools, methods, and concepts of quality assurance.

Ability to work independently with minimal supervision and within stipulated timeframe.

Demonstrates agility and resourcefulness in undertaking tasks assigned, particularly for new assignments.

Ability to interpret statutory and regulatory requirements and establish frameworks and solutions for implementation.

Strong analytical mindset, attention to detail and ability to apply sound judgment.

Good written and communication skills with ability to effectively engage and influence stakeholders.

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