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Compliance Specialist, Business Governance

2 months ago


Singapore Maybank Singapore Full time
Job Description:
We are seeking a highly skilled Senior Executive/Manager, Business Compliance to join our team at Maybank Singapore. The ideal candidate will be responsible for ensuring that business units within CFS comply with all relevant regulatory requirements.

Key Responsibilities:
• Develop and implement compliance policies and procedures to ensure regulatory compliance.
• Monitor and review CFS business units' compliance with regulatory guidelines and internal policies.
• Maintain effective working relations between Compliance and internal stakeholders.
• Provide solutions on governance-related issues and processes for new initiatives.
• Keep up-to-date with changes in regulatory requirements and ensure that the bank's policies and procedures reflect those changes.
• Serve as a pre-emptive role in providing analysis on sales and infractions trending reports.
• Review KRI breaches for Premier.
• Conduct product governance reviews.
• Guide business units on performing remedial actions and mitigating potential risks.
• Ensure all necessary controls and methodologies are in place for an effective control system.
• Conduct reviews and assessments to ensure the bank is meeting regulatory requirements.
• Ensure quality and timely submission of ops risk tools for business.
• Oversee sales advisory frameworks to ensure compliance with regulatory and internal policies.
• Identify and share potential risks with key stakeholders.
• Work closely with all business units to ensure they are aware of and compliant with relevant regulations and policies.
• Prepare reports and presentations on compliance and governance matters for key stakeholders.
• Provide guidance and support to all employees on compliance and governance matters.
Requirements:
• Recognized bachelor's degree in Business, Banking, and Finance.
• 3-5 years' experience in capital market products, structured products, and derivatives, and wealth management preferably.
• Strong analytical and implementation skills, demonstrated ability to effectively manage multiple tasks and drive change across a complex organization and multiple stakeholders.
• A team player with a positive attitude, professionalism, and a strong work ethic with high levels of integrity and ethics.
• Familiarity with wealth management standards, services, products, processes, end-to-end workflow, and operations.
• Familiarity with compliance, controls, risk management, and banking operations.
• Knowledge in capital market products, structured products, and derivatives.