- Category Financial Services
- Industry Wholesale Banking and Global MarketsConsumer Financial ServicesFinancial ServicesPrivate Banking & Wealth
- Function Legal & Compliance
- Consultant Christina Tay
- License No 16S8060
- Registration No R1658357
- Job Ref No CR21385
- Salary S$55,000 - S$100,000
We are partnering a Leading Bank with a strong international presence and expansion plans for their Singapore branch to recruit for a Regulatory Compliance Lead. This is an excellent opportunity for an individual looking to further develop their leadership skills. We also welcome individuals with leadership potential who are looking to step up into a team lead role.
You will lead the Regulatory Compliance function and manage a small team responsible for providing sound compliance advice to the business and stakeholders on the interpretation and applicability of regulations and policies. You will conduct impact analysis on regulatory developments and communicate to relevant stakeholders. You will be responsible for the review and enhancement of the compliance procedures and policies and ensure that it is in line with MAS regulations and Group policies. You will perform compliance monitoring and prepare the findings and reports. You will get to take part in strategic projects and initiatives.
You are degree qualified with at least 8-10 years of Compliance related experience in Financial Services preferably in Banking. You are well versed with MAS regulations i.e. Securities and Futures Act (SFA) or Financial Advisers Act (FAA) or Banking Act (BA) and have experience performing an advisory role. Prior experience managing regulatory relationships will be ideal. 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 email@example.com, quoting the job title and reference number CR21385. We regret that only shortlisted candidates will be notified.