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Digift

Compliance Manager

5-7 Years
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Job Description

About DigiFT:

DigiFT is a next-generation exchange for institutional-grade, tokenized real-world assets (RWAs), and the first of its kind to be licensed by both the Monetary Authority of Singapore and the Hong Kong Securities and Futures Commission. Today, we are one of the most comprehensively regulated RWA platforms in Asia—positioning us as a global leader in compliant, on-chain finance.

Trusted by top financial institutions, DigiFT is the tokenization and distribution partner for global asset managers including Invesco, Wellington Management, and UBS Asset Management. We offer an end-to-end solution for tokenization, issuance, distribution, custody, and trading of regulated RWA products—combining smart contract infrastructure with deep capital markets expertise.

Our team brings together senior leaders from Citibank, PIMCO, Fidelity, Morgan Stanley, and the Shenzhen Stock Exchange, united by a mission to build the future of institutional tokenized finance.

Role Description:

We are looking for a dedicated and detail-oriented Compliance Manager to join our team at DigiFT. In this role, you will collaborate closely with the Chief Compliance Officer to implement and maintain DigiFT's comprehensive compliance framework. You will be responsible for ensuring that all operations align with the Monetary Authority of Singapore (MAS) regulations, the Securities and Futures Act (SFA), and other applicable laws. Your core responsibilities will include monitoring regulatory developments, managing compliance risks, and driving a strong compliance culture throughout the organization. This role is essential in upholding DigiFT's integrity and ensuring strict adherence to all regulatory requirements.

Key Responsibilities:

  • Regulatory Compliance: Assist in ensuring adherence to MAS regulations, SFA, and other applicable laws.
  • AML/CFT Program Support: Help maintain and monitor the company's Anti-Money Laundering and Countering the Financing of Terrorism (AML/CFT) program.
  • Policy Implementation: Support the development, review, and implementation of compliance policies and procedures.
  • Risk Monitoring: Identify and report compliance risks and assist in implementing mitigation measures.
  • Regulatory Reporting: Prepare and submit regulatory filings and reports under the guidance of the CCO.
  • Training & Awareness: Coordinate compliance training sessions for employees and promote a culture of compliance.
  • Internal Controls: Assist in monitoring internal controls to ensure compliance with regulatory requirements.
  • Regulatory Updates: Track regulatory developments and help update internal policies accordingly.
  • Audit & Review: Support internal and external audits related to compliance matters.

Qualifications:

  • Bachelor's degree in Law, Finance, Business Administration, or a related field.
  • More than 5 years of experience in regulatory compliance, AML/CFT, and risk management within financial institutions, with a preference for experience in a CMS licensed entity.
  • Deep knowledge of MAS regulations, the Securities and Futures Act (SFA), and related financial regulatory frameworks.
  • Strong interest in blockchain, crypto, and financial technology, and a willingness to stay updated on industry trends and regulatory developments.
  • Excellent communication, leadership, and interpersonal skills, with the ability to engage effectively with regulatory bodies and internal stakeholders.
  • Professional certifications in compliance or AML/CFT (e.g., ICA, ACAMS) are highly desirable.

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About Company

Job ID: 146955283

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