We are working with a leading global investment firm to appoint a Head of Compliance in Hong Kong. This is a senior, high-impact role responsible for leading the Hong Kong compliance function while overseeing regional trade surveillance across APAC.
The role offers strong front-office interaction, with a particular focus on equity trading compliance, MNPI controls, and regulatory engagement, supporting a growing investment platform in the region.
Key Responsibilities:
- Lead the Hong Kong compliance function, ensuring full adherence to SFC regulations and local regulatory requirements
- Act as the primary point of contact for regulators, managing inspections, filings, and ongoing engagement
- Oversee and enhance trade surveillance across Hong Kong, Singapore, and Japan, including monitoring for market abuse and managing alerts/escalations
- Partner closely with investment teams and technology to strengthen surveillance frameworks and controls
- Design and maintain robust MNPI controls, including restricted/watch lists and information barriers
- Provide real-time compliance advisory to front office on trading, market conduct, and regulatory matters
- Conduct compliance monitoring, thematic reviews, and risk assessments
- Support regional compliance coverage and ensure consistency across jurisdictions
Key Requirements:
- 8–14 years of compliance experience within hedge funds, asset management, or financial institutions
- Strong knowledge of Hong Kong regulatory requirements (SFC)
- Proven experience in equity trade surveillance and market conduct compliance
- Deep understanding of MNPI / insider trading regulations and information barriers
- Experience dealing with regulators and managing inspections or inquiries
- Strong communication skills with the ability to partner effectively with front office stakeholders