Position Overview
Key Responsibilities:
- Manage a portfolio of clients of fund management companies to provide them compliance solutions and services
- Prepare and review regulatory reporting and surveys for clients
- Advise clients on regulatory compliance and provide regulatory updates to them
- Provide compliance advisory services such as license applications, address enquires from regulators etc
- Understand clientsβ needs and request to provide guidance and support in developing and implement compliance policies and procedures for them
- Monitor the overall service delivery to clients and maintain good relationships with them