We’re looking for a candidate to fill this position in an exciting company.
Take a consultative approach in providing timely and quality advice to business, risk and infrastructure units on compliance, regulatory and policy matters.
As a subject matter expert, interpret and analyse new or revised regulatory requirements, and provide advice and guidance to responsible parties for timely and effective implementation of policies and procedures to comply with the requirements.
Formulate and timely update Compliance head office policies and procedures to ensure that they are in-line with regulatory requirements and mitigate compliance risks; and assist in the roll-out and/or training of these policies and procedures group-wide.
Degree holder from a reputable university, preferably with outstanding academic record.
Relevant professional/industry qualification such as ICA Diploma in Compliance would be an advantage.
Minimum 10 years of relevant experience, preferably in private banking compliance; or with MAS or audit firms
Good understanding of the regulatory framework for private banking/wealth management business, including but not limited to Banking Act, Securities and Futures Act, Financial Advisers Act and Private Banking Code of Conduct.
Excellent interpersonal skills and the ability to work collaboratively in a team-oriented environment.
Exceptional written and oral communication skills, with ability to communicate complex ideas effectively.
Strong analytical and problem-solving skills; able to quickly identify the issues, exercise sound judgement and manage execution under pressure.