Introduction:
We are looking to further strengthen our compliance capabilities in Singapore by bringing on a senior compliance professional with strong regulatory expertise and a legal background. The role will be a key member of the Compliance team, contributing to the ongoing development and enhancement of our compliance framework and culture.
Description:
- Support the establishment, enhancement, and maintenance of the firm’s regulatory and AML compliance framework and internal controls.
- Lead or participate in regulatory and AML risk assessments to ensure robust controls and adherence to local requirements.
- Conduct and coordinate periodic reviews and audits of compliance processes.
- Partner with Legal and other business functions to address compliance-related matters.
- Engage with local regulators, contributing to regulatory dialogue and licensing-related initiatives.
- Collaborate across departments to ensure the firm remains aligned with all applicable regulatory and licensing obligations.
- Monitor and interpret regulatory developments in Singapore related to payment services, digital assets, and financial services, and provide timely updates to management.
- Contribute to risk assessments, compliance reviews, and broader governance initiatives.
Requirements:
- Bachelor’s degree in law, legal studies, or equivalent experience.
- 10+ years of experience in compliance or a related field, preferably with exposure to Singapore’s regulatory environment and the Payment Services Act.
- Experience in regulatory engagement or within a regulatory body is an advantage.
- Knowledge of the payments/fintech industry is beneficial.
- Strong analytical and problem-solving skills.
- Excellent communication and interpersonal skills.