Legal & Compliance Professional | Operations & Administrative Manager
About Me
I am a legal and banking professional with 18 years of experience in banking operations, branch management, compliance, and corporate administration. Over the years, I have held leadership roles including Bank Branch Director for more than 13 years and currently serve as a Company Secretary in a municipally-owned company. My expertise lies in legal support, regulatory compliance, risk management, and corporate governance.
I am highly organized, responsible, and results-oriented, with a strong background in preparing documentation for board meetings, providing legal analysis, and monitoring regulatory compliance. I have extensive experience drafting and updating internal regulations, bylaws, and procedures, as well as coordinating with legal and administrative departments.
Throughout my career, I have demonstrated strong team leadership skills, managing operational and financial aspects of bank branches, overseeing credit risk assessment, and driving business development and sales strategies. I am adept at client portfolio management and ensuring service quality.
I have also been involved in additional responsibilities such as serving as a member of the Bank Credit Committee and president of the Debt Write-off Commission. My professional training includes certifications in operational risk management, anti-money laundering, corporate banking, and international bank guarantees.
I am proficient in Microsoft Office applications, banking software, email communication, virtual meetings, and document management systems. I have intermediate working proficiency in English and am seeking remote opportunities in legal support, compliance, operations, or executive assistance where I can leverage my skills and experience.
Skills
Communication SkillsProblem SolvingTime ManagementBusiness DevelopmentRisk ManagementReportingStrategic PlanningTeam LeadershipClient Relationship ManagementMicrosoft WordMicrosoft PowerPointOperations Management
Experience
Preparation of documentation for Board of Directors meetings and mandatory participation; Legal analysis and legal opinions for management; Monitoring regulatory compliance and corporate governance; Drafting and updating internal regulations, bylaws, and procedures; Coordination with legal and administrative departments; Written and verbal communication with external partners and institutions; Participation in development and implementation of internal compliance procedures
Full operational and financial management of bank branches; Team leadership, performance monitoring, and reporting; Credit risk assessment and approval within delegated authority; Profitability, sales strategy, and business development; Client portfolio management and service quality control; Market analysis and strategic reporting to head office
Credit analysis and loan processing; Financial statement analysis and risk assessment; Collateral evaluation and enforcement procedures; Client relationship management and portfolio development
Education
Graduate Lawyer (4-Year Law Degree)
Completed full four-year university-level legal education under pre-Bologna system
Passed
General
Portfolio not available.