- Category Financial Services
- Industry Banking MarketsFinancial ServicesPrivate Banking & Wealth
- Function Legal & Compliance
- Consultant Christina Tay
- License No 16S8060
- Registration No R1658357
- Job Ref No CR 20376
- Salary S$150,000 - S$250,000
We are partnering an Established Bank to recruit for a Head of Compliance Monitoring. This is an excellent opportunity for a Compliance/Audit professional with strong controls background to join their Compliance team in Singapore.
Reporting to the Head of Compliance, you will provide leadership to a small team responsible for performing compliance monitoring for the Bank. This includes evaluating the effectiveness of existing controls, designing and implementing new controls, and developing test steps and methodologies. You will identify regulatory risks, propose recommendations, prepare reports and present the findings to senior management. You will keep abreast of regulatory developments and proactively identify areas for improvements and propose ad-hoc reviews. You will lead and participate in new Compliance projects and initiatives and work closely with the business in providing regulatory solutions.
You are degree qualified with minimum 10-15 years of relevant experience in Compliance/Audit/Regulatory Compliance in Banking or Financial Services. You have strong controls background and well versed with MAS Regulations, Guidelines & Notices such as Banking Act, Securities & Futures Act (SFA), Financial Advisers Act (FAA) etc. You have great sense of ownership and possess effective communication & interpersonal skills. You are highly driven, organized, analytical with proven ability to engage & influence stakeholders.
To apply, please submit your resume to Christina Tay at email@example.com, quoting the job title and reference no CR 20376. We regret that only shortlisted candidates will be notified.