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Head of Regulation, Internal Control & Compliance Asia

ExperiencedNo visa sponsorship
BBVA CIB logo

at BBVA CIB

Investment Banking

Posted 4 days ago

No clicks

**Head of Regulation, Internal Control & Compliance Asia** leads and oversees Compliance, Non-Financial Risk management, and regulatory developments in CIB Asia branches and entities. Ensures adherence to local regulations and global standards, leading multi-geography teams. Key responsibilities include risk identification, monitoring, and reporting, regulatory engagement, and supporting cross-border businesses. Requires 15+ years of experience in Compliance or similar roles, CIB activity understanding, and strong governance mindset. Fluent in English; Mandarin a plus.

Compensation
Not specified

Currency: Not specified

City
Hong Kong, Singapore, Tokyo
Country
Hong Kong, Singapore, Japan

Full Job Description

Excited to grow your career?

BBVA is a global company with more than 160 years of history that operates in more than 25 countries where we serve more than 80 million customers. We are more than 121,000 professionals working in multidisciplinary teams with profiles as diverse as financiers, legal experts, data scientists, developers, engineers and designers.

About the job:

The Head of Regulation & Internal Control CIB Asia will be responsible for leading and overseeing the Compliance framework, Non-Financial Risk management and Regulatory developments across the CIB branches (Hong Kong, Shanghai, Singapur, Taiwan, Japan), entities (Japan Sec House) and rep offices in Asia.

This role must ensure full adherence to local regulatory requirements, global internal policies, and Group standards. To that end, he/she will lead the different R&IC teams in the region and receive full support from R&IC CIB & holding teams. The position plays a critical role in safeguarding the franchise, enabling sustainable business growth, and reinforcing a strong culture of integrity and risk awareness.

Reporting directly to the Head of Regulation & Internal Control CIB and co-reporting to the Head of CIB Asia, key responsibilities will include:

  • Oversee the Compliance, Non Financial Risks and Regulatory Desk functions across all CIB branches and rep offices in Asia.

  • Responsibility line with business heads of compliance of different countries in the region

  • Ensure implementation of global and local Compliance policies, including financial crime compliance (AML/CFT, sanctions), corporate compliance, market conduct, investor protection and data protection rules.

  • Design and oversee the Non-Financial Risk framework, ensuring appropriate risk identification, assessment, monitoring, and reporting according to the global non financial risk management model.

  • Development of common guidelines, standards & frameworks across the branches to standardize control and oversight activities, ensuring robust testing and monitoring mechanisms.

  • Provide reasonable assurance that the Bank and its employees comply with applicable laws, regulations, internal rules and ethical standards within the context of corporate governance

  • Act as primary contact for regulators, ensure proactive regulatory engagement and manage supervisory reviews, inspections, and thematic examinations.

  • Coordinate non financial risks admission, licensing requirements and regulatory approvals for new products, services, structures or expansion

  • Support other CIB teams in cross border businesses related with Asia

  • Monitor regulatory developments and assess their impact on the business model.

  • Identify training needs and ensure the provision of adequate training programs

  • Provide independent advisory to senior management and business lines and assistance on identifying, assessing, measuring and mitigating compliance, operational & regulatory risks.

  • Lead investigations of significant compliance incidents and ensure timely remediation.

  • Promote a strong risk culture aligned with Group standards.

Requirements

  • Senior profile with at least 15 years of experience in Compliance or other control functions (Internal Audit, Non Financial Risks, Internal Control) and/or experience in Corporate & Investment Banking with a very sound knowledge of compliance risks.

  • Experience / knowledge of the CIB activities and businesses & understanding of the main compliance risks in the CIB activities (global markets, investment banking & finance, global transaction banking).

  • Strong governance and risk management mindset

  • Customer oriented

  • Ability to work in a matrix reporting structure, multi-functional and cross-cultural environment

  • Management abilities to lead, coordinate and liaise with multi-geography teams.

  • Excellent communications & negotiations skills

  • Proactive approach, strategic thinking, organization & execution capabilities

  • High level of integrity, ethics and confidentiality

  • Fluency in written and spoken English

  • Mandarin is an advantage

Job Posting

BBVA Hong Kong will conduct a background check on you in accordance with the Mandatory Reference Checking (MRC) Scheme regulated by the Hong Kong Monetary Authority (HKMA). Should any discrepancy identified or deemed unsatisfactory to us, we reserve the rights to terminate your employment in such case. (FAQs for In-Scope Individual: https://www.hkab.org.hk/files/page/page-content/79/FAQs_for_In-Scope_Individuals_(24_July_2025)-1753348029.pdf)

Skills:

Communication, Negotiation, Risk Management

Location: Hong Kong

Time Type: Full time

Head of Regulation, Internal Control & Compliance Asia

Compensation

Not specified

City: Hong Kong, Singapore, Tokyo

Country: Hong Kong, Singapore, Japan

BBVA CIB logo
Investment Banking

4 days ago

No clicks

at BBVA CIB

ExperiencedNo visa sponsorship

**Head of Regulation, Internal Control & Compliance Asia** leads and oversees Compliance, Non-Financial Risk management, and regulatory developments in CIB Asia branches and entities. Ensures adherence to local regulations and global standards, leading multi-geography teams. Key responsibilities include risk identification, monitoring, and reporting, regulatory engagement, and supporting cross-border businesses. Requires 15+ years of experience in Compliance or similar roles, CIB activity understanding, and strong governance mindset. Fluent in English; Mandarin a plus.

Full Job Description

Excited to grow your career?

BBVA is a global company with more than 160 years of history that operates in more than 25 countries where we serve more than 80 million customers. We are more than 121,000 professionals working in multidisciplinary teams with profiles as diverse as financiers, legal experts, data scientists, developers, engineers and designers.

About the job:

The Head of Regulation & Internal Control CIB Asia will be responsible for leading and overseeing the Compliance framework, Non-Financial Risk management and Regulatory developments across the CIB branches (Hong Kong, Shanghai, Singapur, Taiwan, Japan), entities (Japan Sec House) and rep offices in Asia.

This role must ensure full adherence to local regulatory requirements, global internal policies, and Group standards. To that end, he/she will lead the different R&IC teams in the region and receive full support from R&IC CIB & holding teams. The position plays a critical role in safeguarding the franchise, enabling sustainable business growth, and reinforcing a strong culture of integrity and risk awareness.

Reporting directly to the Head of Regulation & Internal Control CIB and co-reporting to the Head of CIB Asia, key responsibilities will include:

  • Oversee the Compliance, Non Financial Risks and Regulatory Desk functions across all CIB branches and rep offices in Asia.

  • Responsibility line with business heads of compliance of different countries in the region

  • Ensure implementation of global and local Compliance policies, including financial crime compliance (AML/CFT, sanctions), corporate compliance, market conduct, investor protection and data protection rules.

  • Design and oversee the Non-Financial Risk framework, ensuring appropriate risk identification, assessment, monitoring, and reporting according to the global non financial risk management model.

  • Development of common guidelines, standards & frameworks across the branches to standardize control and oversight activities, ensuring robust testing and monitoring mechanisms.

  • Provide reasonable assurance that the Bank and its employees comply with applicable laws, regulations, internal rules and ethical standards within the context of corporate governance

  • Act as primary contact for regulators, ensure proactive regulatory engagement and manage supervisory reviews, inspections, and thematic examinations.

  • Coordinate non financial risks admission, licensing requirements and regulatory approvals for new products, services, structures or expansion

  • Support other CIB teams in cross border businesses related with Asia

  • Monitor regulatory developments and assess their impact on the business model.

  • Identify training needs and ensure the provision of adequate training programs

  • Provide independent advisory to senior management and business lines and assistance on identifying, assessing, measuring and mitigating compliance, operational & regulatory risks.

  • Lead investigations of significant compliance incidents and ensure timely remediation.

  • Promote a strong risk culture aligned with Group standards.

Requirements

  • Senior profile with at least 15 years of experience in Compliance or other control functions (Internal Audit, Non Financial Risks, Internal Control) and/or experience in Corporate & Investment Banking with a very sound knowledge of compliance risks.

  • Experience / knowledge of the CIB activities and businesses & understanding of the main compliance risks in the CIB activities (global markets, investment banking & finance, global transaction banking).

  • Strong governance and risk management mindset

  • Customer oriented

  • Ability to work in a matrix reporting structure, multi-functional and cross-cultural environment

  • Management abilities to lead, coordinate and liaise with multi-geography teams.

  • Excellent communications & negotiations skills

  • Proactive approach, strategic thinking, organization & execution capabilities

  • High level of integrity, ethics and confidentiality

  • Fluency in written and spoken English

  • Mandarin is an advantage

Job Posting

BBVA Hong Kong will conduct a background check on you in accordance with the Mandatory Reference Checking (MRC) Scheme regulated by the Hong Kong Monetary Authority (HKMA). Should any discrepancy identified or deemed unsatisfactory to us, we reserve the rights to terminate your employment in such case. (FAQs for In-Scope Individual: https://www.hkab.org.hk/files/page/page-content/79/FAQs_for_In-Scope_Individuals_(24_July_2025)-1753348029.pdf)

Skills:

Communication, Negotiation, Risk Management

Location: Hong Kong

Time Type: Full time