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Manager, Wealth Management Compliance Advisory - Mox

Standard Chartered

Finance Jobs

Manager, Wealth Management Compliance Advisory - Mox

full-timePosted: Jan 11, 2026

Job Description

Job Description
Requisition Number:  4345
Job Location:  Quarry Bay, HKG
Work Type:  Office Working
Employment Type:  Permanent
Posting Start Date:  25/06/2024
Posting End Date: 
Job Description: 

About Mox Bank

Mox is built by and for the ones who aspire to live life to the fullest – we call them Generation Mox!

The name Mox reflects the endless opportunities we can create, - Mobile eXperience; Money eXperience; Money X (multiplier), eXponential growth, eXploration… it’s all up for us to define together. 

Why Mox

Mox helps you grow – your money, your world, your possibilities.  We equip you with the financial management tools, information and insights you need to make your dreams, big or small, come true.

Everything at Mox – from our products, features, to rewards – is designed based on customer research, tailor made for your needs.   We care about what customers care about, especially in data security and privacy.  Data ethics is core to everyone here at Mox. 

Mox rewards you with an array of banking and lifestyle benefits.  Who says banking can’t be fun?

 

 

Job Summary

We are looking for a Manager, Wealth Management Compliance Advisory.

Key Responsibilities

  • Provide compliance advisory to Investment and Insurance Business and/or support units on all relevant compliance issues and to liaise with regulators.
  • Support licensing applications for insurance and digital asset, manage Compliance policies and standards updates, licensing matter, continuous professional training, outsourcing and other regulatory compliance work in the team.
  • Manage regulatory changes process including dissemination, tracking regulation implementation, perform gap analysis and other follow up actions to ensure the Bank complies all applicable Group requirements and regulatory requirements.
  • Handle and advise on regular submissions / ad-hoc surveys, regulatory information request / enquires / inspection, and liaise with regulators and coordinate appropriate responses to their queries.
  • Assist to review advertising and marketing materials, new product initiatives, and obtain regulators’ approval as required.
  • Support the Compliance team to review and advise on customer complaints and liaise with regulators as necessary.
  • Ensure prompt escalation of regulatory issues to management.
  • Prepare the MIS reporting and committee materials.
  • Experience in Investment, Digital Assets and Insurance business is preferable.

Skills and Experience

  • University graduate or above in any discipline.
  • Minimum 5 years’ experience in regulatory compliance advisory for investment and insurance business. Preferably with an exposure in the Insurance, Digital Asset or Wealth sector.
  • Posssess a comprehensive risk management mindset including compliance risk, financial crime risk, credit risk, fraud risk and operational risks, etc.
  • Good knowledge of laws and regulations applicable to banks relating to investment and insurance, good analytical skills and incident management experience.
  • Sound business acumen, able to make judgment independently with strong sense of ownership.
  • Excellent analytical skills and meticulous to details.
  • Above all, possess an “can-do” attitude and willing to challenge the status quo.

Locations

  • Quarry Bay, Hong Kong

Salary

Estimated Salary Rangemedium confidence

702,000 - 1,360,000 HKD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Compliance advisoryintermediate
  • Regulatory liaisonintermediate
  • Policy managementintermediate
  • Gap analysisintermediate
  • Regulatory reportingintermediate

Required Qualifications

  • Experience in Investment, Digital Assets and Insurance business preferable (experience)

Responsibilities

  • Provide compliance advisory to Investment and Insurance Business
  • Support licensing applications for insurance and digital assets
  • Manage regulatory changes process and gap analysis
  • Handle regulatory submissions, enquiries and inspections
  • Review advertising, marketing materials and new products
  • Support review of customer complaints

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Standard Chartered logo

Manager, Wealth Management Compliance Advisory - Mox

Standard Chartered

Finance Jobs

Manager, Wealth Management Compliance Advisory - Mox

full-timePosted: Jan 11, 2026

Job Description

Job Description
Requisition Number:  4345
Job Location:  Quarry Bay, HKG
Work Type:  Office Working
Employment Type:  Permanent
Posting Start Date:  25/06/2024
Posting End Date: 
Job Description: 

About Mox Bank

Mox is built by and for the ones who aspire to live life to the fullest – we call them Generation Mox!

The name Mox reflects the endless opportunities we can create, - Mobile eXperience; Money eXperience; Money X (multiplier), eXponential growth, eXploration… it’s all up for us to define together. 

Why Mox

Mox helps you grow – your money, your world, your possibilities.  We equip you with the financial management tools, information and insights you need to make your dreams, big or small, come true.

Everything at Mox – from our products, features, to rewards – is designed based on customer research, tailor made for your needs.   We care about what customers care about, especially in data security and privacy.  Data ethics is core to everyone here at Mox. 

Mox rewards you with an array of banking and lifestyle benefits.  Who says banking can’t be fun?

 

 

Job Summary

We are looking for a Manager, Wealth Management Compliance Advisory.

Key Responsibilities

  • Provide compliance advisory to Investment and Insurance Business and/or support units on all relevant compliance issues and to liaise with regulators.
  • Support licensing applications for insurance and digital asset, manage Compliance policies and standards updates, licensing matter, continuous professional training, outsourcing and other regulatory compliance work in the team.
  • Manage regulatory changes process including dissemination, tracking regulation implementation, perform gap analysis and other follow up actions to ensure the Bank complies all applicable Group requirements and regulatory requirements.
  • Handle and advise on regular submissions / ad-hoc surveys, regulatory information request / enquires / inspection, and liaise with regulators and coordinate appropriate responses to their queries.
  • Assist to review advertising and marketing materials, new product initiatives, and obtain regulators’ approval as required.
  • Support the Compliance team to review and advise on customer complaints and liaise with regulators as necessary.
  • Ensure prompt escalation of regulatory issues to management.
  • Prepare the MIS reporting and committee materials.
  • Experience in Investment, Digital Assets and Insurance business is preferable.

Skills and Experience

  • University graduate or above in any discipline.
  • Minimum 5 years’ experience in regulatory compliance advisory for investment and insurance business. Preferably with an exposure in the Insurance, Digital Asset or Wealth sector.
  • Posssess a comprehensive risk management mindset including compliance risk, financial crime risk, credit risk, fraud risk and operational risks, etc.
  • Good knowledge of laws and regulations applicable to banks relating to investment and insurance, good analytical skills and incident management experience.
  • Sound business acumen, able to make judgment independently with strong sense of ownership.
  • Excellent analytical skills and meticulous to details.
  • Above all, possess an “can-do” attitude and willing to challenge the status quo.

Locations

  • Quarry Bay, Hong Kong

Salary

Estimated Salary Rangemedium confidence

702,000 - 1,360,000 HKD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Compliance advisoryintermediate
  • Regulatory liaisonintermediate
  • Policy managementintermediate
  • Gap analysisintermediate
  • Regulatory reportingintermediate

Required Qualifications

  • Experience in Investment, Digital Assets and Insurance business preferable (experience)

Responsibilities

  • Provide compliance advisory to Investment and Insurance Business
  • Support licensing applications for insurance and digital assets
  • Manage regulatory changes process and gap analysis
  • Handle regulatory submissions, enquiries and inspections
  • Review advertising, marketing materials and new products
  • Support review of customer complaints

Target Your Resume for "Manager, Wealth Management Compliance Advisory - Mox" , Standard Chartered

Get personalized recommendations to optimize your resume specifically for Manager, Wealth Management Compliance Advisory - Mox. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "Manager, Wealth Management Compliance Advisory - Mox" , Standard Chartered

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Answer 10 quick questions to check your fit for Manager, Wealth Management Compliance Advisory - Mox @ Standard Chartered.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.