- Location
- Kuala Lumpur Office, Malaysia
- Type
- Full-time
- Department
- Legal
- Seniority
- Entry
- Clearance
- Required
- Source
- Workday
Description
Line of Service
Internal Firm ServicesIndustry/Sector
Not ApplicableSpecialism
IFS - Risk & Quality (R&Q)Management Level
Senior AssociateJob Description & Summary
A career within Risk and Compliance services, will provide you the opportunity to work with a team that provides clients with extensive risk and controls technical knowledge and sector specific experience. You’ll have the opportunity to develop a holistic approach to risk that protects businesses, facilitates strategic decision making and enhances efficiency by assisting management in the assessment of project risks and controls.Our Risk and Compliance Generalist - Practice Support team helps PwC assess, design and develop solutions to manage diverse risks. You’ll help PwC develop a consistent, coordinated, and sustainable strategy.
At PwC, we are committed to being purpose-led and values-driven leaders at every level. Our PwC Professional framework sets clear expectations across all lines of service, geographies and career paths, providing transparency on the skills needed to succeed and grow in your career, now and in the future.
The role of a Regulatory Compliance Senior Associate is critical in ensuring that PwC’s adheres to both local and foreign regulatory requirements. Your responsibilities will include managing the application and renewal of various licenses, preparing and submitting regulatory reports and supporting leadership with compliance-related reporting.
Success in this role requires strong attention to detail and a thorough understanding of regulatory frameworks. Timely submissions are essential to maintaining compliance, avoiding legal or financial penalties, and demonstrating our commitment to regulatory integrity to both regulators and stakeholders.
Key Responsibilities:
License Application and Reporting:
Prepare and submit licence applications required by local and foreign regulators in a timely and accurate manner.
Compile and submit regulatory reports in compliance with applicable requirements, ensuring accuracy and adherence to specified deadlines.
Maintain a comprehensive and organised record of all licensing activities and related documentation.
Continuously monitor the firm’s compliance with local and foreign regulatory obligations.
Identify areas for improvement and recommend corrective actions to strength compliance, including opportunities for automation and process enhancements.
License Renewal and Payment Management:
Monitor licence expiration dates to ensure timely renewals and associated payments.
Coordinate with relevant internal and external stakeholders to collect the necessary documentation and information required for renewal and payment processes.
Proactively identify and resolve any issues or discrepancies that may arise during the renewal process to avoid delays or non-compliance.
Regulatory Assessment and Licence Application:
Assess new and evolving regulatory requirements for license applications, both local and foreign, based on current and anticipated business needs.
Collaborate with cross-functional teams to determine the necessity of specific licences and initiate the application process where applicable.
Stay informed of changes in regulatory requirements and ensure the firm’s licensing strategy aligned with updated requirements.
Leadership Reporting:
Support the preparation and presentation of compliance reports for leadership review.
Provide leadership with timely and relevant insights based on compliance data and regulatory changes.
Qualification and experience:
Bachelor’s degree in any discipline and/or a professional accounting qualification.
Minimum of 3 years’ experience in licensing, operations, regulatory compliance, legal or a related field.
Strong understanding of relevant laws, regulations and compliance frameworks.
Key skills:
Meticulous attention to detail and ability to deliver high standards of accuracy and consistency.
Proficient in written and verbal communication in English and Bahasa Malaysia.
Strong analytical and problem-solving skills, with the ability to interprete regulations and assess their impact on the firm.
Strong organizational and time-management abilities, capable of managing multiple tasks and meeting deadlines.
Ability to assess and mitigate risks related to non-compliance.
Ability to build and maintain effective relationships with internal and external stakeholders
Capable of working independently and collaboratively within a team environment.
Demonstrate discretion and integrity in handlling sensitive and confidential information.
Proficiency in compliance-related software, tools and systems.
Education (if blank, degree and/or field of study not specified)
Degrees/Field of Study required:Degrees/Field of Study preferred:Certifications (if blank, certifications not specified)
Required Skills
Optional Skills
Accepting Feedback, Accepting Feedback, Active Listening, Analytical Thinking, Anti-Money Laundering (AML), Coaching and Training, Communication, Compliance Advisement, Compliance Oversight, Compliance Program Implementation, Compliance Risk Assessment, Confidential Information Handling, Contract Review, Contractual Risk Mitigation, Contractual Risk Monitoring, Contract Writing, Creativity, Crisis Management, Data Loss Prevention (DLP), Data Security, Discretion and Business Ethics, Embracing Change, Emotional Regulation, Empathy, Financial Risk Management {+ 32 more}Desired Languages (If blank, desired languages not specified)
Travel Requirements
Up to 20%Available for Work Visa Sponsorship?
YesGovernment Clearance Required?
YesJob Posting End Date