Hoi Chan

Hoi Chan

Senior Vice President – Team Head, Legal & Compliance (Private Banking) @ CMB Wing Lung Bank

About

Senior Compliance Executive with 18+ years of experience designing and implementing robust compliance frameworks for top-tier private banking, trust, and wealth management firms. I specialize in transforming complex regulatory challenges into strategic business advantages by managing result-driven individuals and enhancing governance structures. My expertise spans the full spectrum of financial compliance, with a proven track record in: · Leadership & Strategy: Mentoring high-caliber compliance professionals to foster a culture of accountability and risk awareness. · Regulatory Engagement (HKMA, SFC, PCPD etc.): Acting as the primary regulatory liaison, successfully navigating complex audits and inspections. · AML, KYC & Financial Crime Prevention: Governing the entire client lifecycle to ensure the highest standards of due diligence and monitoring. · Investment Suitability & Risk: Overseeing suitability assessments for diverse investment products to protect clients and the business. · Stakeholder Advisory: Advising senior management on emerging risks and embedding compliance best practices through targeted training. My focus is on delivering unwavering regulatory compliance and tangible support for business objectives—turning compliance into a key enabler for growth. Certifications: HKIB CCOP (GC & IIC), CAMLP, CGFP #Compliance #AML #WealthManagement #ComplianceLeader

Country

Hong Kong SAR

City

Hong Kong

Industry

Banking

Skill

Team Leadership & Staff Training, Governance, Risk Management, and Compliance (GRC), AML / KYC / CDD / Transaction Monitoring, Investment Suitability Oversight, Policy & Framework Development, Compliance, Team Management, Risk Management, Banking, Financial Risk, AML, Financial Services, Training, Management, KYC, Internal Controls, Anti Money Laundering

Experience

CMB Wing Lung Bank

Senior Vice President – Team Head, Legal & Compliance (Private Banking)

CMB Wing Lung Bank

LinkedIn
2015-11 - Present · 10 yrs 11 mos

Hong Kong

- Designated Person-in-Charge for all compliance matters in Private Banking and Private Trust Services, including CMB Wing Lung (Trustee) Limited. - Appointed by senior management to concurrently advise China Merchants Bank, Hong Kong Branch on strategic legal and compliance matters, directing high-level initiatives in regulatory governance, risk management, and policy interpretation alongside core responsibilities at CMB Wing Lung Bank. - Lead and mentor a team of compliance professionals, strengthening AML/KYC controls, suitability reviews, and governance across the bank’s product suite. - Act as the principal point of contact for Regulators (e.g. HKMA, SFC, PCPD etc.) during inspections and audits, ensuring seamless regulatory engagement and maintaining a clean record. - Spearhead policy and procedure enhancements, acting as lead compliance reviewer/approver for investment suitability. - Provide strategic compliance counsel to senior management and deliver targeted training to business units, improving staff awareness and reducing compliance breaches. - Oversee client onboarding approvals, achieving rigorous KYC/AML compliance while maintaining efficient turnaround. - Promoted to Senior Vice President for consistent performance and leadership impact.

Bank of Singapore, Asia’s Global Private Bank

Associate Director – Compliance Surveillance

Bank of Singapore, Asia’s Global Private Bank

LinkedIn
2014-7 - 2015-11 · 1 yr 5 mos

Hong Kong

- Deputized for the Team Head, providing management support and strategic advice. - Directed supervisory reviews of investment suitability, sales processes, and marketing materials to ensure regulatory and internal policy compliance. - Contributed to the design and management of the bank’s comprehensive compliance monitoring program. - Managed issues identified through surveillance, ensuring timely escalation to senior management and regulators. - Developed Key Risk Indicators (KRIs) and provided compliance advisory services to the front office.

Pictet Group

Assistant Vice-President of the Compliance Department, Asia Pacific

Pictet Group

LinkedIn
2012-4 - 2014-7 · 2 yrs 4 mos

Hong Kong

- Served as a key compliance advisor for the Private Wealth Management business across the Asia-Pacific region. - Supported the Head of Compliance in regulatory risk management, reporting, and self-assessment exercises. - Identified regulatory risks and implemented effective corrective action plans for business units. - Supervised and mentored a direct report, fostering professional development. - Mitigated AML risk through stringent quality control at client onboarding and via continuous transaction monitoring.

HSBC

Compliance Manager

HSBC

LinkedIn
2010-5 - 2012-3 · 1 yr 11 mos

Hong Kong

- Managed the account opening approval process and ensuring client profiles provided by Relationship Managers comply with the anti-money laundering standards set by regulatory authorities and HSBC Group. - Assisted in the establishment and implementation of compliance policies & procedures for HSBC Private Bank in order to cover changes in global/ local laws and regulations which may affect business operation. - Supervised the suspicious transaction reporting process to regulatory authorities and performing investigations on unusual activities reported by the Group’s surveillance system. - Handled routine regulatory and compliance issues such as licensing, training, investment suitability, marketing guides for various countries…etc.

Coutts

Regulatory Review Officer of the Compliance Department

Coutts

LinkedIn
2008-2 - 2010-4 · 2 yrs 3 mos

Hong Kong

- Recipient of the RBS Coutts 2009 Simply The Best Incentive Team Award as a result of demonstrating exceptional focus on excellence, customer satisfaction and passion. - Monitored various business activities (transactions, KYC, staff dealing…) to ensure compliance with the RBS Group procedures. - Drafted and revised the firm’s compliance-related policies and guidelines to adopt with the most up-to-date changes in local/ international banking regulations. - Reported to HKMA/ SFC/ JFIU on issues relating to the firm’s regulatory policy, licensing matters and suspicious transactions. - Carried out internal investigation relating to client complaints and employee misconduct. - Performed compliance induction and AML training to Royal Bank of Scotland (RBS) staff.

J.P. Morgan

Professional Exempt - Account Control Team

J.P. Morgan

LinkedIn
2007-9 - 2007-12 · 4 mos

Hong Kong

- Managed a 4-member team that focuses on H.K. and Singapore clients’ account opening process. - Conducted data quality checking projects via analyzing reports generated by the firm’s systems. - Liased with Geneva, London & Singapore offices regarding latest AML regulation changes. - Increased the efficiency of our firm’s account opening workflow by 30% using past experience.

Morgan Stanley

Regulations Specialist - Institutional Infrastructure & Private Wealth Management Operations

Morgan Stanley

LinkedIn
2005-4 - 2007-9 · 2 yrs 6 mos

Hong Kong

- Facilitated account opening routine of M.S. Asia’s private wealth management clients. - Consolidated anti-money laundering reports of 3000+ clients from the Pan Asia region. - Oversaw the firm’s Global Documentation System for timely updates and renewals. - Cooperated with Singapore, London, Glasgow & New York offices on compliance and AML issues involving foreign governments and international regulatory bodies.

Thomson Reuters

Market Data Analyst of East Asia Fixed Income – Data Operations

Thomson Reuters

LinkedIn
2004-12 - 2005-3 · 4 mos

Hong Kong

- Analyzed coupon rates reset history of 300+ securities in Hong Kong market. - Communicated with pay agents of 75+ financial institutions for issue status updates. - Observed daily trends of 230+ bond accounts in Taiwan and Philippine Exchanges. - Renovated department’s fixed income database by decreasing overall search time by 40%

Education

University of Michigan

University of Michigan

LinkedIn

Economics

2003 - 2004 · 1 yr

Graduated from the University of Michigan, Ann Arbor

The Manchester Metropolitan University

The Manchester Metropolitan University

LinkedIn

Law

2004 - 2007 · 3 yrs

Co-organized with the University of Hong Kong

City University of Hong Kong

City University of Hong Kong

LinkedIn

Arbitration and Dispute Resolution

2010 - 2012 · 2 yrs
Case Western Reserve University

Case Western Reserve University

LinkedIn

Business Administration and Management, General

2002 - 2003 · 1 yr

Transferred to University of Michigan in 2003

Hoi Chan's Contact Information

Email

******@***.com

Phone

(**) *** ****

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