- Category Financial Services
- Industry Financial Services
- Function Legal & Compliance
- Consultant Christina Tay
- License No 16S8060
- Registration No R1658357
- Job Ref No CR 21004
- Salary Above S$250,000
We are partnering an International Bank to recruit for a Head of Regulatory Compliance. This is a well-established bank with a global presence and a strong commitment to expanding its business in APAC. This is an excellent opportunity for a Senior Compliance Advisor to join.
You will lead the regulatory compliance function and manage a small team responsible for providing sound compliance advice to the business and stakeholders. You will build and maintain good relationships with regulators and manage any regulatory queries and obligations. Keep abreast of the latest regulatory developments that will impact the Bank and responsible for developing and enhancing the compliance policies and processes in accordance with regulations. Other responsibilities include but not limited to driving adhoc regulatory compliance projects, conducting compliance training, furnishing compliance reports and presenting to the Senior Management and commitees etc. You will enhance compliance awareness of the Bank through regular communication and play a crucial role in advocating a strong compliance culture.
You are degree qualified with at least 12-15 years of Compliance experience in Financial Services/Banking. You must be well versed with MAS regulations i.e. Securities and Futures Act (SFA) or Financial Advisers Act (FAA) or Banking Act (BA) and have experience managing regulatory relationships and performing an advisory role. You are highly motivated, an effective communicator and possess strong sense of ownership and leadership skills or potential.
To apply, please submit your resume to Christina Tay at firstname.lastname@example.org, quoting the job title and reference number CR21004 We regret that only shortlisted candidates will be notified.