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| Location | Tokyo - 23 Wards |
| Job Type | Permanent Full-time |
| Salary | 12 million yen ~ 17 million yen |
- Oversee departmental compliance with regulations and internal policies, providing practical compliance guidance.
- Monitor front office investment activities for compliance, interpreting Japanese regulatory requirements and client/fund documentation.
Implement group compliance policies, advising relevant departments and addressing any challenges.
- Review various internal and external compliance reports, including submissions to Group Compliance, the FSA, and industry bodies.
- Support matters related to the Japan FSA, such as onsite inspections, licensing, and regulator inquiries.
- Facilitate escalation of compliance issues, assist with internal reviews, and help resolve control deficiencies.
- Supervise sales and marketing compliance, including Know-Your-Client (KYC) and anti-money laundering (AML) processes.
Employee Benefits:
In accordance with Japanese labour law
| Minimum Experience Level | Over 3 years |
| Career Level | Mid Career |
| Minimum English Level | Business Level |
| Minimum Japanese Level | Business Level |
| Minimum Education Level | Bachelor's Degree |
| Visa Status | Permission to work in Japan required |
- Over 8 years of experience as a compliance officer within an asset management company.
- In-depth knowledge of local laws and regulations governing asset management, including the Financial Instruments and Exchange Act and rules from the Investment Management Association of Japan.
- Background in audit, law, or compliance; qualifications in accounting, finance, or legal fields are preferred.
- Excellent interpersonal and leadership skills, with strong personal judgment and the ability to manage complex stakeholder relationships.
- Proactive with a strong commitment to meeting deadlines.
- Native-level Japanese and business level English
| Job Type | Permanent Full-time |
| Salary | 12 million yen ~ 17 million yen |
| Industry | Asset Management |