远程工作雷达

合规主管及反洗钱官(巴基斯坦)

Compliance Head & MLRO, Pakistan

其他全球可投
公司OKX
薪资未公开
工作地点Pakistan (Remote)
地域资格全球可投
时区要求无特别要求
用工类型未标注
发布时间22 天前
数据来源Greenhouse
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全球可投:该职位未限制候选人所在地区。仍需注意薪资可能按地区折算,以及实际签约方式(正式雇佣 / 独立合同)。

我们是谁

在OKX,我们认为加密货币将重塑未来,并最终为每个人的自由做出贡献。

OKX是一家领先的加密货币交易所,也是OKX Wallet的开发者,为数百万用户提供了加密货币交易和去中心化加密应用(dApps)的访问途径。OKX也是数百家大型机构信赖的品牌,它们寻求进入加密货币市场。我们安全可靠,由我们的“储备证明”作为后盾。

在全球多个办公室中,我们因核心原则而团结一致:我们先于自己,做正确的事,把事情完成。这些共同的价值观推动了我们的文化,塑造了我们的流程,并为每位OKX员工营造了一个友好、有回报且多元化的环境。OKX是OKG的一部分,OKG通过我们领先的产品OKX、OKX Wallet、OKLink等,将区块链的价值带给全球用户。

职位简介

我们正在寻找一位经验丰富的、具有商业意识并熟悉监管要求的合规专业人士,加入我们担任合规主管兼反洗钱报告官(MLRO)。

该职位将在从零开始建立合规计划方面发挥关键作用,并在组织内培养合规文化。

未来还将承担更广泛的团队管理职责,包括监管策略、运营执行和治理。

你将负责的工作

监管参与

  • 作为与相关监管机构的主要联系人。
  • 确保组织满足所有适用的治理要求,包括对批准人员和指定人员的适当性和合适性义务。
  • 监测并解读与虚拟资产相关的监管发展,并据此向高级管理层和董事会提供建议。

合规计划开发与管理

  • 设计、实施并维护一个全面的合规框架,符合当地要求、金融行动特别工作组(FATF)建议以及虚拟资产服务提供商(VASPs)的国际最佳实践。
  • 制定、审查并更新所有涵盖反洗钱/反恐融资(AML/CFT)、客户身份识别(KYC)、客户尽职调查(CDD)、增强型尽职调查(EDD)、交易监控、制裁筛查、数据保护、网络安全合规和客户资产保障的内部政策和程序。
  • 建立并监督合规监控计划,包括定期测试、差距分析和向高级管理层及董事会汇报。
  • 准备并提交定期合规报告给董事会。
查看英文原文

Who We Are

At OKX, we believe that the future will be reshaped by crypto, and ultimately contribute to every individual's freedom.

OKX is a leading crypto exchange, and the developer of OKX Wallet, giving millions access to crypto trading and decentralized crypto applications (dApps). OKX is also a trusted brand by hundreds of large institutions seeking access to crypto markets. We are safe and reliable, backed by our Proof of Reserves.

Across our multiple offices globally, we are united by our core principles: We Before Me, Do the Right Thing, and Get Things Done. These shared values drive our culture, shape our processes, and foster a friendly, rewarding, and diverse environment for every OK-er. OKX is part of OKG, a group that brings the value of Blockchain to users around the world, through our leading products OKX, OKX Wallet, OKLink and more.

About the Opportunity

We are looking for an experienced, commercially aware, and regulatory-savvy compliance professional to join us as Head of Compliance and Money Laundering Reporting Officer (MLRO).

The role will be instrumental in building the compliance programme from the ground up, and embedding a culture of compliance across the organisation.

Broader team management responsibilities will be added in due course for regulatory strategy, operational execution, and governance.

What You’ll Be Doing

Regulatory Engagement

  • Serve as the primary point of contact with relevant regulatory bodies.
  • Ensure the organisation meets all applicable governance requirements, including fit and proper obligations for Approved and Designated Persons.
  • Monitor and interpret regulatory developments relevant to virtual assets, and advise senior management and the Board accordingly.

Compliance Programme Development & Management

  • Design, implement, and maintain a comprehensive compliance framework aligned with local requirements, FATF recommendations, and international best practice for virtual asset service providers (VASPs).
  • Develop, review, and update all internal policies and procedures covering AML/CFT, KYC, customer due diligence (CDD), enhanced due diligence (EDD), transaction monitoring, sanctions screening, data protection, cybersecurity compliance, and safeguarding of client assets.
  • Establish and oversee the compliance monitoring programme, including periodic testing, gap analysis, and reporting to senior management and the Board.
  • Prepare and present regular compliance reports to the Board and relevant committees, including on regulatory changes, compliance breaches, and remediation progress.
  • Ensure compliance considerations are integrated into new product design and operations from the inception phase by driving solutions that balance commercial outcomes and innovation, while maintaining a robust compliance posture using a clear risk-based approach.
  • Review technical documentation, user journeys, and product flows to ensure compliance risks are addressed; provide clear, actionable and solution-focused advice during the product lifecycle.
  • Build and scale compliance policies governing advertising, social media campaigns, influencer partnerships, and product launches.
  • Partner with Legal, Product, and Marketing teams to operationalize a timely review process for client-facing assets and go-to-market materials.

AML/CFT & MLRO Duties

  • Act as the designated MLRO, with full statutory responsibility for overseeing the organisation's AML/CFT framework.
  • Receive, review, and assess all internal Suspicious Transaction Reports (STRs) from staff, and make informed decisions on whether to file external disclosures with competent local authorities.
  • Oversee and continuously improve the transaction monitoring programme, with support from global compliance and product functions.
  • Ensure robust sanctions screening against all applicable lists, including OFAC, UK OFSI, UN, EU, and applicable local sanctions designations.
  • Oversee customer risk scoring, risk-based KYC/CDD processes, and enhanced due diligence for high-risk customers, politically exposed persons (PEPs), and customers from high-risk jurisdictions.

Governance & Culture

  • Act as a key member of the senior leadership team, providing compliance input on new products, services, partnerships, and business initiatives.
  • Champion a strong compliance culture across the organisation through training, communications, and leadership by example.
  • Design and deliver AML/CFT and compliance training programmes for all staff, ensuring completion records are maintained.
  • Ensure that the organisation's compliance obligations are adequately resourced, and advise the Board on staffing, systems, and budget requirements.
  • Establish and maintain a compliance manual, risk register and oversee the escalation and resolution of compliance incidents and breaches.

Reporting & Recordkeeping

  • Prepare and submit all required regulatory reports and notifications to relevant authorities within stipulated deadlines.
  • Ensure that all compliance records, SAR documentation, KYC files, and transaction monitoring records are maintained in accordance with applicable retention requirements.
  • Support and facilitate any inspections, supervisory visits, or regulatory examinations.

What We Look For In You

·

Qualifications

  • Bachelor's degree in Law, Finance, Business, or a related field. A postgraduate qualification is advantageous.
  • Professional certification in compliance or AML is strongly preferred (e.g. CAMS, ICA Certificate/Diploma in AML or Compliance, CFE, or equivalent).

Experience

  • Minimum of 8 years of experience in compliance, AML, or financial crime prevention, with at least 3 years in a senior or leadership compliance role.
  • Demonstrated in-house experience working within virtual asset service providers (VASPs), cryptocurrency exchanges, fintech firms, or regulated financial institutions.
  • Prior experience as an MLRO or Deputy MLRO is highly desirable.
  • Experience engaging directly with financial regulators and the financial intelligence unit
  • Hands-on experience building compliance programmes from the ground up in a start-up or scaling environment is a significant advantage.
  • Familiarity with the regional regulatory framework and requirements is strongly preferred.

Knowledge & Skills

  • Deep understanding of FATF Recommendations and their application to virtual asset service providers, including the Travel Rule (FATF Recommendation 16)
  • Strong knowledge of crypto-specific AML typologies.
  • Proficiency with blockchain analytics and transaction monitoring tools (e.g. Chainalysis, Elliptic, TRM Labs, or equivalent).
  • Excellent written and verbal communication skills in English and Urdu.
  • Strong analytical and investigative skills, with the ability to identify and articulate complex risk scenarios clearly.
  • Demonstrated ability to engage constructively with regulators, external auditors, and law enforcement.
  • High degree of personal integrity and sound professional judgment.

Nice to Haves

·

  • Experience in cryptocurrency or blockchain compliance programs.
  • Experience working in a multi-national financial institution setting.
  • Familiarity with compliance technology and analytics tools.
  • Prior exposure to multi-jurisdictional compliance oversight.
  • In-depth knowledge of crypto products, including spot trading, derivatives, staking, lending/borrowing, DeFi, and stablecoins.

Additional Notes

This role will be subject to fit and proper assessment as part of the licensing process. Candidates must be prepared to undergo background checks, provide regulatory questionnaires, CVs, references, and proof of relevant qualifications. Prior enforcement history, regulatory sanctions, or unexplained gaps in professional record may affect eligibility.

Perks & Benefits

  • Competitive total compensation package
  • L&D programs and Education subsidy for employees' growth and development
  • Various team building programs and company events
  • More that we love to tell you along the process!

Notice:

All official OKX vacancies are published on this website. While roles may appear on selected third-party platforms from time to time, information on other sites may be inaccurate or outdated. If in doubt, please apply directly through our official careers website.

Information collected and processed as part of the recruitment process of any job application you choose to submit is subject to OKX's Candidate Privacy Notice.

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