About the company
The Binance Exchange is a leading cryptocurrency exchange founded in 2017 in Hong Kong. It features a strong focus on altcoin trading. Binance offers crypto-to-crypto trading in more than 600 cryptocurrencies and virtual tokens, including Bitcoin (BTC), Ether (ETH), Litecoin (LTC), Dogecoin (DOGE), and its own token Binance Coin (BNB).
Job Summary
Responsibilities:
šAssist efforts in the development and implementation of the global Compliance Risk Management Program, intended to identify, assess, manage, and monitor Compliance Risk robustly. šAssist in designing risk assessment methodologies to assess risks such as, but not limited to: enterprise-wide AML risk; risks associated with specific products, services, coins, and tokens; countries and jurisdictions globally; customer segments; etc. šLead the process of EWRA on at least an annual basis. šLiaise with the Business Unit Compliance team to participate in the risk assessment of new, changing, or existing products. šWork with the business and the team to document and maintain the control register. šSupport the regional Compliance and Business Units SMEs in effectively performing regulatory activities, while also effectively anaging the Compliance Risks in their respective areas, e.g., external audits, regulatory exams & inspections, regulatory inquiries, adherence to the Group Compliance Risk Management methodologies & processes, adherence to regulatory requirements, and adherence to external and internal policies. šCollaborate with stakeholders across varying levels globally to ensure methodology and execution meet expectations/needs. šSupport the regional, business, and product teams in developing and managing policies, procedures, and processes used for risk mitigation and ongoing compliance risk assurance, i.e., building out the Compliance Risk control environment. šAssist with all pillars of the developed Compliance Risk Management program, including but not limited to horizon scanning, including those relating to AML and CFT, regulatory perimeter, and impact assessments on upcoming regulatory changes. šAssist with the development of timely, effective, and efficient management information on Compliance Risk insights and performance. šAssist with the development and implementation of KPIs, KRIs, and ongoing monitoring.
Requirements:
šDegree in a business management, finance, or economics field. šAdvanced professional risk certificate is preferred (e.g., CAMS-RM). š5+ years as a compliance professional in a regulated financial services environment. š2+ years of direct experience in Compliance Risk and EWRA implementation. šAbility to work independently in a fast-paced, global organization while maintaining close contact with relevant teams across multiple locations. šExcellent problem-solving and communication skills with the ability to articulate complex concepts into a format digestible by a diverse audience. šProactive, diligent team player.