Your new company
Our client is a Hong Kong-based investment manager focused on Equity Capital Markets (ECM) opportunities across Asia-Pacific, including IPOs, placements, block trades and convertible bonds. The firm is led by seasoned industry professionals with extensive experience across global investment banks and hedge funds, offering a highly entrepreneurial and collaborative environment.
Your new role
As Compliance Officer, you will serve as a key member of the compliance function, providing regulatory and compliance oversight across the firm's investment activities, with a particular focus on ECM and convertible bond transactions.
What you'll need to succeed
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or share your profile to rowina.lo@hays.com.hk
If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career.
Our client is a Hong Kong-based investment manager focused on Equity Capital Markets (ECM) opportunities across Asia-Pacific, including IPOs, placements, block trades and convertible bonds. The firm is led by seasoned industry professionals with extensive experience across global investment banks and hedge funds, offering a highly entrepreneurial and collaborative environment.
Your new role
As Compliance Officer, you will serve as a key member of the compliance function, providing regulatory and compliance oversight across the firm's investment activities, with a particular focus on ECM and convertible bond transactions.
- Provide compliance advisory support on ECM transactions, including IPOs, placements, accelerated bookbuilds, block trades and convertible bonds.
- Review and monitor wall-crossing procedures, inside information handling and restricted list controls.
- Ensure compliance with SFC regulations, codes, guidelines and internal policies.
- Advise investment professionals on market conduct, conflicts of interest and regulatory obligations.
- Conduct trade surveillance and compliance monitoring activities.
- Lead compliance reviews, risk assessments and thematic monitoring programs.
- Liaise with regulators, auditors, legal counsel and external service providers when required.
- Support regulatory filings, inspections and compliance reporting.
- Develop and deliver compliance training to investment and operational staff.
- Review and enhance compliance policies, procedures and control frameworks.
What you'll need to succeed
- 15-20 years of compliance experience gained within hedge funds, asset managers, investment banks or securities firms.
- Strong knowledge of Hong Kong SFC regulations and market conduct requirements.
- Extensive experience covering Equity Capital Markets transactions and convertible bond activities.
- Experience advising front office teams on wall-crossing, insider information and restricted securities.
- Familiarity with hedge fund and asset management business models.
- Strong stakeholder management and communication skills.
- Ability to operate independently in a lean and entrepreneurial environment.
- Bachelor's degree in Law, Finance, Accounting or a related discipline.
- Fluency in English is required; Asian language capability would be advantageous.
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or share your profile to rowina.lo@hays.com.hk
If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career.
Job ID 1289692
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Hays Hong Kong Limited ("Hays Hong Kong") is the one of the leading specialist recruitment companies in Hong Kong in recruiting qualified, professiona...
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