We’re looking for a candidate to fill this position in an exciting company.
Reporting to the Head of Legal & Compliance, you will lead the Compliance function and manage a team. You will act as MLRO/DPO and will be responsible for directing the full Compliance lifecycle for the Group globally. You will develop and implement an effective Compliance program and ensure the business adheres to regulations and Compliance risks are identified and mitigated. You will maintain good relationships with Monetary Authority of Singapore (MAS) and regulators in core business jurisdictions and manage any regulatory enquiries, reporting, inspection and investigation. You will be responsible for regulatory compliance advisory and conduct and ethics compliance. You will play a key role in advocating a strong compliance culture across the organization.
You are degree qualified with at least 8-10 years of Compliance/Legal experience in Financial Services. You are well versed with MAS regulations i.e. Securities and Futures Act (SFA) and have a proven track record in managing compliance risk. Background in Capital Markets is preferred. You are independent, an effective communicator and possess good leadership skills or potential.