បុគ្គលិកជាន់ខ្ពស់ផ្នែកប្រតិបត្តិតាម
The senior officer of the Compliance Unit has a clear understanding of the regulatory framework and compliance requirements associated with financial services and has experience reviewing/developing policies, procedures, & guidelines concerning compliance and the ability to use and manage tasks in
the AML system.
Main Duties
- Assisting in developing/reviewing internal policies and procedures, and terms and conditions of new products and activities in compliance with laws and regulations;
- Regularly reviewing the compliance program and recommending appropriate revisions and modifications, including advising administrative leadership and the board of directors of potential compliance risk areas;
- Coordinating resources to ensure the ongoing effectiveness of the compliance program;
- Advising management on the bank’s compliance with laws and regulations through detailed reports;
- Creating and manage effective action plans in response to audit discoveries and compliance violations;
- Ensuring that the customer acceptance policy, customer due diligence, record keeping, on-going monitoring, reporting of cash transactions, reporting of suspicious transactions and other AML/CFT measures are implemented effectively;
- Regularly conducting compliance and AML risk assessment to assess the current state and identify areas for enhancement in alignment with the compliance and AML/CFT management practice with regulatory guidelines and industry practices;
- Identifying compliance and AML/CFT risk associated with new products and services or variations to existing products and services;
- Providing training on AML/CFT and compliance to new staff and refreshment to the existing staff;
- Developing AML/CFT and Regulatory Compliance training materials and update them in case of necessity.
- Ensuring all employees are educated on the latest regulations and processes;
- Keeping up-to-date and Monitor changes in relevant laws and regulations environment and ensure that the Management is well informed and appropriate actions are taken;
- Performing other tasks as required by line manager.
Skills/ Experiences
- Bachelor’s Degree in Law, Banking and Finance or other related fields;
- At least 2 years of compliance experience in the banking sector;
- Compliance Risk Assessment & Interpretation;
- Understanding of Compliance Functions;
- Data Analysis & Power BI;
- Compliance Monitoring and Auditing;
- Analytical Thinking and Customer Focus;
- Good Communication and Interpersonal Awareness;
- Computer Literacy in MS office (Word, Excel, PowerPoint).
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បុគ្គលិកជាន់ខ្ពស់ផ្នែកប្រតិបត្តិតាម
របៀបដាក់ពាក្យ៖
បេក្ខជនដែលមានចំណាប់អារម្មណ៍ សូមអញ្ជើញផ្ញើប្រវត្តិរូបសង្ខេប (មានបិទរូបថត) ជាមួយលិខិតអមជាភាសាខ្មែរ/អង់គ្លេសមកធនាគារតាមរយៈអុីម៉ែល: hr@ftbbank.com ឬការិយាល័យកណ្តាល ស្ថិតនៅអគារលេខ ៣៣ C-D ផ្លូវលេខ ១៦៩ សង្កាត់វាលវង់ ខណ្ឌ ៧មករា រាជធានីភ្នំពេញ ឬតាមសាខាណាមួយ របស់ធនាគារពាណិជ្ជកម្មក្រៅប្រទេស នៃកម្ពុជា ។ មានតែបេក្ខជនដែលមានលក្ខណៈសម្បត្តិគ្រប់គ្រាន់នឹងត្រូវបានជាប់ក្នុងបញ្ជីសម្រាំង និងត្រូវបានទូរស័ព្ទអញ្ជើញឲ្យមកចូលសម្ភាសន៍ ។
ព័ត៌មានបន្ថែមសូមទំនាក់ទំនងមកកាន់លេខទូរស័ព្ទ: ០៨១ ៦៦៦ ៥៩៧ / ០៨១ ៤៤៤ ១៧៩
Please visit our website: https://ftb.com.kh/km/careers