Risk and Compliance is a global function that brings together all aspects of regulatory and financial crime risk management. Acting as risk stewards, and incorporating a range of specialist teams, we work together with the business and leverage advanced technology to help HSBC navigate a complex regulatory landscape and embed a sustainable approach to compliance risk management that supports safe growth and ensures fair outcomes for clients. Compliance aspires to continuously raise the bar and set leading standards across the industry to help HSBC safeguard its customers and the communities within which it operates.
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• Functional reporting to SVP and Head of Regulatory Compliance, IWPB
• Entity reporting to SVP and Head of Regulatory Compliance, IWPB
The role holder is the senior executive accountable for ensuring HSBC’s operations in Taiwan effectively identify, assess, manage and mitigate Regulatory Compliance risks, and for providing timely, high-quality compliance advice to the covered businesses.
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Meet one of the following regulatory qualification requirements:
※ Applicants passing resume screening will be notified for interview and next steps. There will be no further notification or message for applicants either not qualifying for or not being selected for the position applied.

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We're a financial services organisation that serves more than 40 million customers, ranging from individual savers and investors to some of the world’s biggest companies and governments. Our network covers 58 countries and territories, and we’re here to use our unique expertise, capabilities, breadth and perspectives to open up a world of opportunity for our customers.
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