Lead the team to review and implement the firm’s compliance policies and procedures
Perform regular investment compliance monitoring to ensure groups complying with relevant fund investment guidelines
Create and submit regulatory filings and lead on interactions with the local regulator
Coordinate, track, distribute, and review quarterly compliance certifications
Maintain internal controls to detect violations of company policies and procedures
Collaborate with Marketing team to provide compliance oversight related to RFIs, RFPs, DDQs, investment commentaries, presentations, and other materials
Partner with the business to review any event, meeting, corporate access requests that require review and approval
Review account opening processes and ensure clients adhere to SFC AML/KYC guidelines