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PNB Holdings Corporation is seeking a Compliance Manager to ensure adherence to laws, regulations, and internal policies across the group. The role leads risk assessments, policy development, and training to foster a culture of integrity and ethical conduct.
The position requires extensive knowledge of regulatory bodies (SEC, PSE) and ESG/governance standards, with a proven track record in compliance, risk, and real estate-related compliance considerations.
The Compliance Manager shall be responsible for ensuring that the organization and its subsidiaries operate within the bounds of applicable laws, regulations, and internal policies. This role involves timely and accurate reportorial submissions to relevant regulatory bodies, developing, implementing, and monitoring compliance programs, monitoring of internal policies and procedures, conducting risk assessments, and providing relevant training to employees to promote a culture of integrity and ethical conduct.
Stays updated on relevant laws and regulations of all applicable government bodies covering the Company’s operations, ensuring the company complies with industry standards and governmental requirements, specifically real estate, zoning and environmental compliance or any other requirements that may be applicable to the Company or its subsidiaries’ business.
Identifies, evaluates, and manages compliance requirements and risks, including SEC, PSE, anti-money laundering (AML), sustainability or ESG reporting, and corporate governance, among others.
Creates and maintains policies and procedures to mitigate compliance risks across all subsidiaries.
Monitors policies and procedures internally created for specific business units to ensure business continuity and good governance.
Conducts interim compliance audit, investigations, and compliance reviews. Report findings and recommend corrective actions to the Chief Risk Officer/Chief Compliance Officer.
Designs and delivers compliance training programs to employees, fostering awareness of compliance obligations, good corporate governance and best practices.
Responds to compliance-related incidents, perform root-cause analysis, and ensure timely resolution.
Reports, on a timely basis, compliance-related incidents to the Chief Compliance Officer/Chief Risk Officer
Conducts an assessment of incidents in relation to existing policies and procedures and suggests additional measures as may be necessary.
Bachelor's Degree in Industrial Engineering, Business Administration, Legal Management, Compliance, Risk Management, or a related field.
A Juris Doctor (JD) degree is highly preferred; Bar passer is an advantage.
Preferably with MBA or with Masters in Economics with background in Organizational Management
Preferably with a Certification of Lean Six Sigma Green or Black Belt
Preferably a Certified Business Process Professional or Certified Compliance Officer
Must have at least 8-10 years work experience in compliance and risk management
Must have proven work experience in working with regulatory bodies
Preferably with a background Real Estate experience
Must have deep understanding of relevant laws, regulations and reporting standards
Must be updated and knowledgeable in regulatory filings i.e. PSE and SEC requirements, ISO Standards and ESG development goals
Must have a strong analytical and problem-solving skills
Must have a good leadership and inter-personal skills
Effective communication and presentation skills
Proficiency in MS 365 Applications
Must be detail-oriented with ability to manage multiple compliance priorities
Must have a high ethical standard and a proactive approach to managing and mitigating risks
Must have an ability to work in a fast-paced, results-driven environment
PHC is a company that values Diversity, Equality, and Inclusion. We are committed to building a team with diverse talents and skills regardless of backgrounds and creating an environment that respects and supports individual differences.