Compliance Officer

7 days ago


Singapore LUMINOR FINANCIAL HOLDINGS LIMITED Full time

Luminor Financial Holdings Ltd is a non-bank financial institution committed to providing innovative financial solutions to its clients and ensuring access to capital for all. We believe that our people are the key to our success and are committed to a culture that emphasises empowerment, mutual respect and growth.

We are looking to expand our team We are on the hunt for a Compliance Officer to strengthen our compliance function. Based in Singapore, you will work with a team of Product, Treasury and IT specialists to build the next-generation financing platform in Singapore.

**Responsibilities**:

- Assist in the development and implementation of compliance and risk management policies, procedures, and controls.
- Conduct compliance monitoring and risk assessments to identify potential areas of non-compliance or risk exposure.
- Support the maintenance and updating of compliance and risk registers, databases, and documentation.
- Assist in the development and delivery of compliance training programs for employees to promote awareness and understanding of regulatory requirements.
- Monitor changes in relevant laws, regulations, and industry best practices to ensure compliance programs are up to date.
- Collaborate with internal departments to review and assess compliance and risk implications of new products, services, or business initiatives.
- Assist in conducting internal audits and investigations, as required, to address compliance or risk-related issues.
- Assist in the preparation of reports and presentations for senior management and regulatory authorities regarding compliance and risk management activities.
- Support the implementation of remedial actions and corrective measures to address identified compliance or risk issues.
- Stay abreast of emerging trends and developments in compliance and risk management practices.

Qualifications:

- Bachelor's degree in Business Administration, Accountancy, Law or a related field.
- Strong understanding of regulatory compliance and risk management principles.
- Excellent analytical and problem-solving skills, with attention to details.
- Strong communication skills, both verbal and written.
- Ability to work independently and as part of a team.
- Prior experience in compliance or risk management (internships or entry-level positions) is preferred but not required.
- Professional certifications or academic training related to compliance and risk management would be a plus.
- Ethical and trustworthy with the ability to handle sensitive and confidential information.

Most of all, we are looking for someone who has a good work ethic, a “can-do” attitude, and is looking to take on the challenges and development opportunities of working at a fast-growing company.


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