Senior Intermediary Oversight & Compliance Leader

Securities Commission Malaysia

Kuala Lumpur

On-site

MYR 120,000 - 180,000

Full time

14 days+
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Job summary

Securities Commission Malaysia in Malaysia is seeking a professional to formulate and execute supervisory oversight frameworks, policies and initiatives, and to continuously monitor companies and markets to stay ahead of developments, risks and issues.

The role provides recommendations to ensure licensed and regulated conduct in the capital market and to maintain effective working relationships with internal and external stakeholders.

Responsibilities

  • Conduct research and analysis on compliance and development state of industry and intermediaries to ensure practice consistency
  • Review risk assessments to ensure the risks have been addressed appropriately to determine suitable measures to mitigate the risks
  • Perform technical review on audited companies, present findings, and provide recommendations for approval or necessary action
  • Initiate review and formulate review of policy development initiatives including departmental policies and guidelines to ensure its feasibility and relevance to the industry and intermediaries
  • Supervise and lead the team to oversee intermediaries in accordance with risk rating framework
  • Assist in or lead initiation of administrative/enforcement proceedings and preparation of the relevant papers for tabling
  • Establish effective working relationships and engage with relevant internal and external stakeholders to provide technical views to address any issues, enquiries, and concerns
  • Share technical insights to facilitate discussion and decision making
  • Review the deliverables of team members to check for accuracy and appropriateness

Skills

Policy formulation
Risk assessment
Stakeholder engagement
Team leadership
Research & analysis

Job description

Securities Commission Malaysia in Malaysia is seeking a professional to formulate and execute supervisory oversight frameworks, policies and initiatives, and to continuously monitor companies and markets to stay ahead of developments, risks and issues.

The role provides recommendations to ensure licensed and regulated conduct in the capital market and to maintain effective working relationships with internal and external stakeholders.

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