Banking & Financial Services

Risk & Compliance Manager | Boutique Investment Management

Date Added: 18/05/2018
Consultant: Melisa Tan
Our client is a boutique Investment Management house, lean set up, growing steadily since its establishment about a decade ago. Strong AUM and opened another fund recently. In view of expansion plans for the years ahead, they are beefing up their governance strength; hence currently recruiting for a Business Risk & Compliance Manager.

This role reports directly into the COO, who will be able to provide guidance and support from a senior management point of view. You will have to keep abreast of compliance regulatory updates and keep internal compliance policies up to date. The candidate will also have to liaise with the necessary regulatory authorities when needed and conduct other ad hoc governance responsibilities.

The successful candidate should have outstanding educational background and further education qualifications will be advantageous. This role will be able to provide the right candidate governance wide exposure and direct contact to senior management with well-celebrated career track records. Ideally, candidates with familiarity of the Asset Management / Hedge Fund industry will be preferred. You will also possess excellent communication and interpersonal skills, being a team player able to manage the senior stakeholders whilst able to work independently.

To apply, please submit your resume to Melisa Tan at, quoting the job title and ref no. MT12339. We regret that only shortlisted candidates will be notified.

Registration No: R1548039

Type of Work: Permanent

Region: Singapore

Licence No: 16S8060

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