
Regulatory Compliance
4 days ago
Assist the Head of Compliance of Singapore Branch in providing regulatory compliance related advisory, managing compliance program and carrying out compliance monitoring and reviews to ensure Bank’s compliance with applicable laws and regulations, including Banking Act, Securities & Futures Act (“SFA”), Financial Advisers Act (“FAA”) and relevant MAS rules and regulations.
**Responsibilities**:
Review the current compliance controls of the Bank, and identify proper actions for improvement if necessary.
Perform gap analysis on relevant new and updated regulations and implement new processes and controls to address any regulatory gaps.
Review gap analysis on relevant new and updated regulations performed by BU & SU, as an independent party.
Review and update policies and procedures maintained by Compliance Department.
Review new products assessments proposed from Private Banking and Wholesale Banking business units.
Assist in the development and maintenance of regulatory compliance testing & assurance framework, and conduct testing according to such framework to identify control or executional weaknesses.
Perform monitoring and testing on Private Banking key processes, such as investment sales process, customer suitability assessment, and trade execution and dealing processes, to identify any mis-selling, mis-conduct, and deviation from best execution policies.
- Undertake investigations into any complaints reported or made by both internal and external customers.
- Prepare regular Compliance reporting to local Senior Management and Head Office Management and key stakeholders.
- Provide timely circulation of new and updated regulations to the relevant BU & SU, and advise on the regulatory expectations and recommended actions.
- Address inspection queries and follow up on compliance related audit and assurance findings from the internal and external auditors and regulators.
- Provide support to business and/or supporting units in the development, implementation and regular review of policies and procedures for their operations with regard to applicable regulatory requirements on fair dealing, outsourcing, business continuity management, etc.
- Provide regulatory compliance related training to Branch employees, and guide and supervise junior Compliance staff on their BAU operations.
- Assist with Operational Risk related BAU tasks within Compliance Department, such as High Risk NOVA assessment, outsourcing risk assessment, monthly reporting of KRIs, bi-annual review of Unit Specific KRIs.
- Work and coordinate with external legal counsel for legal advisory and assignments arising from BU/SU or Compliance Department.
- To perform assignments from time to time as required by Head of Department & Branch Manager.
- Support frontline and adhere to anti-money laundering / counter terrorist financing requirement and sanction risks controls in accordance with regulatory standards and bank's policies.
**Job Requirements**
- Degree holder in accounting, business, finance, law or related discipline.
- At least 8 years of relevant experience in the regulatory, compliance or advisory roles in banks (Private Banking is a plus).
- Experience in PB Investment sales and advisory monitoring framework.
- Experience in providing advisory on general banking regulatory matters.
- Experience in maintaining banking regulatory compliance program and framework.
- Experience in KYC (including name screening) and transaction monitoring review for Private Banking clients is a plus.
- A team player with strong communication and interpersonal skills.
- Strong analytical and problem-solving skills; and meticulous.
- Self-motivated and resourceful; able to multi task and focus on delivering results.
- Professional Compliance qualifications such as ICA & ACAMS are preferred.
-
Regulatory Compliance
7 days ago
Singapore RevUp Consulting Full time**VP, Regulatory Compliance - European Corporate Investment Bank - Central, Singapore** An established European Corporate Investment Bank is seeking an experienced Compliance Officer to provide compliance guidance and support to the regulatory compliance team for the local business. You will work closely with the Head of Compliance to liaise on regulatory...
-
Manager / Senior Manager (Compliance)
2 days ago
Singapore Gambling Regulatory Authority Full time**What the role is** **What you will be working on** - You will investigate non-compliances reported to the Compliance Division and make recommendations on the regulatory actions to be taken. Examples of non-compliances include conducting games not in accordance with the approved game rules and failure to conduct prevention of money laundering measures in...
-
Manager / Senior Manager (Compliance)
7 days ago
Singapore Gambling Regulatory Authority Full time**What the role is** **What you will be working on** - You will investigate non-compliances reported to the Compliance Division and make recommendations on the regulatory actions to be taken. Examples of non-compliances include conducting games not in accordance with the approved game rules and failure to conduct prevention of money laundering measures in...
-
Regulatory Compliance
6 days ago
Singapore Singapore Full timeIdentify and respond to local regulatory developments, engagement and policy Monitor local regulatory developments/updates issued by regulators Provide compliance advice and guidance to internal stakeholders Assess the risks associated with new or revised strategies and make recommendations to reduce risk exposure. Be the first point of contact to the...
-
Regulatory Compliance
7 days ago
Singapore HEADHUNTING PTE. LTD. Full time**Our client is a leading digital asset service (Crypto) company operating in numerous countries. Below are the primary responsibilities for the role.** **Role: Regulatory Compliance** **Responsibilities**: - Help establish and manage effective compliance program and internal controls in the firm. - Regulatory engagement and liaison with regulators and...
-
Regulatory Compliance
4 days ago
Singapore HEADHUNTING PTE. LTD. Full time7 years exp **Roles & Responsibilities** **Our client is a leading digital asset service (Crypto) company operating in numerous countries. Below are the primary responsibilities for the role.** **Role: Regulatory Compliance** **Responsibilities**: - Help establish and manage effective compliance program and internal controls in the firm. - Regulatory...
-
Regulatory Compliance
1 day ago
Singapore AIA Singapore Private Limited Full timeRegulatory Compliance & Risk Culture, Principal / Consultant Regulatory Compliance & Risk Culture, Principal / Consultant AIA Singapore Private Limited Singapore Apply now Posted 2 hours ago Permanent Competitive Regulatory Compliance & Risk Culture, Principal / Consultant AIA Singapore Private Limited Singapore Apply now FIND YOUR 'BETTER' AT AIA We don't...
-
Regulatory Compliance
2 weeks ago
Singapore NETS Singapore Full timeThis role is responsible for ensuring organization’s adherence to all related and relevant compliance regulations. He/She will be the compliance advisory for various departments and collaborate with them to ensure observance to all regulations while achieving the organization’s goals **Key Responsibilities** - Work hard in hand with the business units...
-
Regulatory Compliance
4 days ago
Singapore Tangspac Full timePosted by - Faith Kenton- Recruitment Consultant European Boutique Bank is looking to hire a Regulatory Compliance Analyst to support the implementation of the Bank’s Compliance program, controls, checks and processes to ensure that the Bank is compliant with the relevant guidelines and regulations. **Job Role Description - Summary** The Compliance...
-
Regulatory Compliance
4 days ago
Singapore Tangspac Full time**Job Role Description - Summary** The Compliance Analyst supports the implementation of the Bank’s Compliance program, controls, checks and processes to ensure that the Bank is compliant with the relevant guidelines and regulations. He/She executes tasks according to procedures to ensure regulatory compliance across the organisation, and escalates any...