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Charterhouse Partnership Hong Kong
Hong Kong, HONG KONG
(on-site)
Posted
2 days ago
Charterhouse Partnership Hong Kong
Hong Kong, HONG KONG
(on-site)
Job Function
Legal Support
VP, Equities Compliance
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
VP, Equities Compliance
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
Responsibilities:- Partner on a daily basis with equity derivatives and prime brokerage desks, covering swap trading, hedging strategies, stock financing, capital mobilization, and external trading arrangements.
- Provide real-time advisory support on foreign ownership ceilings, eligible investor categories, beneficial ownership reporting, and recurring regulatory submissions for select restricted markets across APAC.
- Review trade activity that may approach or exceed local investment thresholds or sector caps, including synthetic structures such as total return swaps and futures.
- Assess the permissibility of synthetic market access linked to restricted securities under both local and extraterritorial regulatory frameworks.
- Collaborate with operations and middle office teams to ensure accurate issuer classification, restricted list management, and automated limit monitoring.
- Monitor trading activity for potential market abuse, anomalous patterns, information leakage, or restricted list violations, particularly during market closure windows or quota-driven scenarios.
- Assist in calibrating surveillance models and alerts alongside global monitoring teams to address unique market events, such as price spikes or sudden volume changes.
- Investigate compliance escalations, ensuring timely resolution, proper documentation, and appropriate reporting.
- Maintain and update regional policies governing derivatives trading, synthetic exposure, and foreign investor participation.
- Track regulatory developments from Indian, Taiwanese, Korean, and Chinese authorities, translating changes into actionable business guidance.
- Support regulatory examinations, data requests, and inspections related to trading activity and market conduct.
- Deliver practical training on restricted market access, limit monitoring, information barriers, and conduct-related risks.
- Provide compliance clearance for new product approvals, trading platform enhancements, and business expansion into new strategies or jurisdictions.
Requirements:
- Bachelor's degree required; background in law, finance, or risk management preferred.
- Minimum of eight years of experience in compliance, regulatory affairs, or risk management within investment banking or capital markets.
- Demonstrated hands-on knowledge of delta-one products, prime services, equity swaps, financing desks, or outsourced trading arrangements.
- Working knowledge of regulatory frameworks, including SEBI/RBI (India), FSC/TWSE (Taiwan), FSS/KRX (Korea), or CSRC/SSE/SZSE (China).
- Prior experience sitting alongside or directly advising trading desks.
- Ability to manage multiple time-sensitive regulatory matters across different jurisdictions and time zones.
- Strong judgment, exceptional attention to detail, and demonstrated ability to translate complex rules into clear, operationally feasible guidance.
Job ID: 84310678
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