Overview
TAJ MUHABATH SDN. BHD. , a licensed Money Services Business (MSB) regulated by Bank Negara Malaysia (BNM) , is seeking a highly experienced and dedicated Senior Compliance Officer to join our Compliance Department. This role is critical in strengthening the Company's compliance governance and ensuring full adherence to BNM’s AML / CFT regulatory framework , Money Services Business Act 2011 , and internal risk management standards.
Location & Employment
Location : Kuala Lumpur
Employment Type : Full-Time
Responsibilities
- Propose, review, and ensure the effective implementation of internal AML / CFT policies and procedures .
- Lead and manage the implementation of the Compliance and AML / CFT Programme , covering compliance governance, AML / CFT risk assessment, STR investigations, and training.
- Ensure the Company’s full compliance with all statutory and regulatory requirements issued by Bank Negara Malaysia and other relevant authorities.
- Customize and update AML / CFT mechanisms such as Risk-Based Approach (RBA), On-Going Due Diligence (ODD), and Red Flag Parameters in line with business growth and emerging ML / TF trends.
- Provide regulatory advisory to management and operational units on AML / CFT and BNM-related guidelines.
- Identify and assess regulatory changes or emerging risks and disseminate updates to relevant business units proactively.
- Maintain professional relationships with regulators and authorities, engaging actively on compliance reporting, audit reviews, and corrective action implementation.
- Conduct continuous compliance risk assessments and recommend preventive or corrective measures.
- Oversee the internal audit programme to ensure effective AML / CFT monitoring and compliance levels.
- Detect irregular or suspicious activities, conduct internal analysis, and ensure timely STR reporting to FIED (BNM).
- Implement employee competency and training programmes to ensure staff possess sufficient knowledge and skill in AML / CFT compliance.
- Liaise directly with BNM and other regulators on compliance-related matters.
- Coordinate compliance activities across departments and provide timely reports to the CEO and COO .
- Present regular compliance and risk updates to the Board of Directors , including recommendations for mitigation and improvement.
- Supervise and guide the Assistant Compliance Officer , reviewing reports, monitoring transaction reviews, and validating training materials.
Qualifications & Requirements
Minimum Bachelor’s Degree in Law, Finance, Accounting, Business Administration , or a related discipline.Minimum 5 years of working experience in Compliance, AML / CFT, or Regulatory Audit within the Money Services Business , Banking , or Financial Services industry.Strong knowledge of Money Services Business Act 2011 , AMLA 2001 , and BNM Policy Documents on AML / CFT and Fit & Proper Criteria.Demonstrated ability to interpret and apply BNM regulations effectively.Excellent analytical, communication, and leadership skills.Meets BNM’s Fit and Proper Criteria , demonstrating integrity, competence, financial soundness, and professional reputation.High level of confidentiality, independence, and sound judgment in compliance matters.#J-18808-Ljbffr