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Overview:
We are an established US investment firm operating as a MAS-regulated Fund Management Company (FMC) in Singapore, serving accredited and institutional clients. We are seeking a meticulous Compliance Officer for a hands-on role managing our day-to-day institutional compliance framework. You will collaborate closely with our Legal & Compliance department, the CEO, and senior management to drive excellence across MAS regulatory reporting, AML/CFT surveillance, and PDPA compliance.
Key Responsibilities:
Requirements:
Please include the following information in your resume.
By submitting any application or resume to us, you will be deemed to have agreed and consented to us disclosing your personal information to prospective employers for their consideration.
We regret only short-listed candidates will be notified.
EA License | 18C9251 WGT Group
Registration No | R22111484 Ketty Lim
Job ID: 153716453
Skills:
Aml, CFT, Ms Office Applications, Regulatory Reporting, Compliance processes, Advertising, Regulatory guidance
Skills:
Aml, Transaction Monitoring, CDD, Financial Crime Compliance, Kyc
Skills:
Aml, CFT, CDD, Kyc, EDD, customer risk assessments, compliance regulations
Skills:
Aml, Compliance, customer risk assessment, CFT, MAS regulations, CDD, Kyc, EDD, sanctions, PEP screening
Skills:
Know Your Client - KYC, Middle Office, Commodities, Retail Banking, Banking, Derivatives, Risk and Regulatory, Risk Management, Administrative Support, Business Banking, Stock Reconciliations, Risk Analysis, Regulatory Compliance, IPPC, Inventory Management, Due Diligence, regulatory filings