The Head of Compliance & Regulatory will work closely with the leadership team to ensure
there is proper governance within all areas of the bank.
Specific responsibilities include, but are not limited to the following:
▪ Provide general support to the Head of the Compliance and compliance team.
▪ To participate drafting the compliance policy and program for the Bank consistent
with the relevant laws and regulations.
▪ Periodically revises the compliance policy and program to be in line with of changes
in the domestic laws.
▪ Prepares and provides compliance reports to the senior management and the BOD
to keep them updated on the progress of compliance matters.
▪ Liaises with relevant internal departments to ensure proper implementation of the
policy and program.
▪ Review and revise, if needed, Bank’s existing securities compliance policies in respect
of the use of information and information barriers.
▪ Assist in developing policies and monitoring systems regarding staff personal trading.
▪ Provide advice to staff on the Bank’s securities compliance policies and systems; and
▪ Provide support to the Bank’s business conflicts function.
▪ Knows about related financial regulations and laws in Myanmar.