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JPMorgan Asset Management Investment Compliance - Vice President/Associate 
Taiwan, Taipei, Taipei 
875086412

Yesterday

As a Vice President/Senior Associate within the Investment Compliance team, you will play a pivotal role in ensuring the integrity, compliance, and accuracy of our investment guidelines in the APAC regions covering Hong Kong, Japan, and Taiwan. You will collaborate closely with portfolio managers, traders, compliance and risk team and client advisors, driving strategic programs and overseeing the end-to-end guideline process. This is an exciting opportunity to make a significant impact on our investment operations and contribute to our global success.

Job responsibilities:

  • Lead, mentor, and develop a high-performing team responsible for investment guideline monitoring coding
  • Provide expert guidance on guidelines interpretation and control frameworks across various investment product types
  • Perform daily pre trade and post trade compliance and control checks to ensure guideline accuracy, regulatory adherence, and risk mitigation across Taiwan, Hong Kong, and Japan
  • Communicate effectively, record potential compliance and control issues, and swiftly identify resolutions
  • Conduct root cause analysis and develop action plans to mitigate compliance risks, control deficiencies, and business impacts/errors
  • Stay updated on financial regulations, compliance standards, and control best practices, suggesting appropriate actions to ensure adherence
  • Manage and drive project initiatives, fostering a culture of continuous improvement, risk awareness, and robust controls
  • Assist with audit-related activities, ensuring compliance with internal and external standards, and analyse/report compliance and control trends.
  • Identify opportunities for process efficiency in compliance and control practices and present findings to the team
  • Collaborate with regional teams in Hong Kong, Japan, and global counterparts to ensure alignment and consistency
  • Manage people by fostering a positive team environment, providing regular feedback, and supporting professional development

Required qualifications, capabilities, and skills:

  • At least 8 years of relevant experience in the financial services industry, with a focus on risk, compliance, and controls
  • Excellent interpersonal skills with the ability to build strong stakeholder relationships
  • Adaptability to shifting priorities and demands in a compliance and control-focused environment
  • Securities Investment Trust & Advisory Association of Taipei, R.O.C. (SITCA) License or Senior Broker License is required
  • Proven team player, and self-starter with strong operational, compliance, and control skills
  • Strong analytical skills with attention to detail and sound judgment in risk assessment and control evaluation
  • Creative thinking and a track record of implementing innovative compliance and control solutions
  • Effective problem-solving abilities in a compliance and control context
  • Proficiency in spoken and written English

Preferred qualifications, capabilities, and skills:

  • Experience in Asset Management or Securities Services with a focus on compliance and controls
  • At least 5 years work experience in Guideline monitoring/Investment compliance experience related roles
  • Experience of managing a team