What is this position about?
The Compliance function is at the heart of BNP Paribas' risk management. One of the pillars of the Group's internal control setup, Compliance teams work both independently and in close partnership with the Business to adapt to the evolution of the Group's activities and the requirements of the regulators. Compliance teams contribute to maintaining the reputation of BNP Paribas and the trust of our clients, thanks to their strong control of non-compliance risks, allowing everyone to work with confidence.
The Regional Compliance Independent Testing Team
Ensures the definition and deployment of a robust and efficient Compliance control framework across the APAC region
Performs 2nd level reviews and control testing to assess the adequacy of the Compliance control framework in place at both Compliance and Business Lines levels
Keeps stakeholders well informed of review outcomes, action plans, or other team initiatives in order to actively evaluate and enhance the Compliance control framework
The Compliance Independent Testing Officer is in charge of defining, performing and reporting 2nd level reviews and control testing done on APAC functions and Business Lines, in order to assess the effectiveness of the Regional control framework across one or multiple Compliance Domains (AML/CFT, Anti-Bribery & Corruption (ABC), Financial Sanctions, Protection of Client Interests, Professional Ethics, Market Integrity, Fiscal regulation, Banking Structural Reform, Regulatory Reporting).
The team adopts a flexible approach, where each team member may work on one or multiple Compliance domains or topics.
What would be your typical day at BNPP Paribas look like?
The Compliance Independent Testing Officer is responsible for the following activities:
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