CB Securities - Compliance & Risk Associate
Posted: 2 days ago
Job Description
The Compliance & Risk Associate shall primarily assist the AP in compliance and risk management tasks and interaction with various regulatory bodies. He/She shall act as an alternate AML Compliance Officer registered with the Anti-Money Laundering Council. He/She shall also assist the AP in implementing the risk management systems of CB Securities, including the set-up and implementation of compliance and risk policies, processes, tools and systems to identify, assess, measure, manage, monitor, and report risks. Educational Background: College Graduate, preferably with a degree in the fields of Accounting, Business, Economics, Finance, Banking and/or Law Professional Experience: At least 1 to 3 years experience in a similar or related capacity with a stock broker or bank or BSP-supervised financial institution;Preferably with Internal Audit or Risk Management exposurePreferably with AP license, but not required Knowledge and Skills Required: Effective verbal and written communication skills Organization, problem-solving and critical thinking Integrity and dependability Proficiency in MS Office, particularly in Excel Registration as Associated Person with SEC, preferred but not required
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