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Position Description
The Senior Compliance Officer will report to the Head of Compliance Singapore and is a generalist role with the exciting opportunity to be given broad Compliance mandate which extends to a number of licensed entities in Singapore and multiple business lines, including, institutional cash equities sales and trading, research, futures & options, Delta One & Equity Derivatives, fixed income sales and trading, wealth management, investment banking (M&A, ECM & DCM) and asset management businesses.
In addition to the above, given the general and flexible mandate of this role, it is expected for the incumbent to demonstrate and develop well-rounded Compliance knowledge and be well-versed in a broad spectrum of Compliance skills, and not be restricted to specialized Compliance roles.
Key Areas of Responsibilities
The incumbent will be a member of the Singapore Compliance team which has the following shared responsibilities:
Compliance Monitoring and Surveillance
- Maintaining and executing the ongoing Compliance Monitoring Programme, which includes, amongst others.
- Conducting Compliance desk reviews/thematic reviews, as may be required, based on emerging risks or new regulatory requirements.
Central Compliance
Compliance Advisory
Requirements
Job ID: 144859235
Skills:
data centers , operational compliance , compliance monitoring , Internal Controls, technology cloud infrastructure, fintech, digital infrastructure, KYB, audit governance, Kyc, compliance risk and controls, customer due diligence
Skills:
Framework, Risk assessments, Capital Markets Services Licences, Internal compliance policies, Corporate finance, Monitoring, Training, Fund Management, Regulatory Requirements
Skills:
compliance advisory , Regulatory Compliance Framework, AML CFT guidance, MAS Correspondences Reporting, Licensing Analysis, Team Leadership, Policies Procedures Internal Controls, KYC Client Onboarding, Risk Assessments
Skills:
Aml, Kyc, Regulatory Compliance, Regulatory Reporting, Surveillance Monitoring, CFT, Monitoring and surveillance systems
Skills:
Risk Assessment, Regulatory engagement, Corruption Drug Trafficking and Other Serious Crimes Confiscation of Benefits Act 1992, MAS Notice SFA04-N02, Compliance monitoring and testing, AML CFT, MAS Notice SFA02-N05, Suspicious transaction reporting, Terrorism Suppression of Financing Act 2002, Policy training