Start Date
Immediate
Expiry Date
12 Dec, 25
Salary
0.0
Posted On
13 Sep, 25
Experience
0 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Professional Development, Approvals
Industry
Financial Services
Job description
SOME CAREERS GROW FASTER THAN OTHERS.
If you’re looking for a career where you can make a real impression, join HSBC and discover how valued you’ll be.
Risk and Compliance is a Second Line of Defence (LOD) function, responsible for reviewing and challenging the activities of the Group’s businesses (also referred to as ‘the First LOD’) to ensure that they effectively manage as ‘Risk Owners’ the risks inherent in or arising from the conduct of their activities and for which they are responsible. The Second LOD consists of ‘Risk Stewards’ who are independent of the commercial risk-taking activities undertaken by the First LOD. The Risk and Compliance function is a Risk Steward for a number of financial and non-financial risks in accordance with HSBC Group’s risk framework.
EXPERIENCE & QUALIFICATIONS:
ROLE OVERVIEW
UAE and global regulators expect firms to have systems and controls for monitoring market abuse like Insider Dealing, Market Manipulation, and Dissemination.
This role involves working in the Markets Surveillance team to support Regulatory Compliance (RC) in MENAT. The surveillance team monitors market abuse using trade and communication surveillance systems to ensure HSBC complies with laws and ethical standards. The role involves actively monitoring market abuse across GBM and Wealth Management businesses and products. The incumbent must detect potential market abuse in trading across different product lines. The incumbent must always work to enhance surveillance systems and processes.
The incumbent must stay informed about industry changes, regulatory updates, and financial news. The incumbent must be passionate about and understand financial markets.
DUTIES & RESPONSIBILITIES