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Space Executive

Compliance Manager

5-7 Years
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  • Posted 11 hours ago
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Job Description

We are partnering with an established professional services group to hire a Compliance Manager to oversee its Singapore compliance function. This is a great step-up role for someone ready to manage a small team and take ownership of regulatory and AML/CFT frameworks.

Key Responsibilities

Policy Development & Implementation

  • Develop, update, and implement internal compliance policies and procedures in line with MAS, ACRA, AML/CFT standards, data protection regulations (e.g., PDPA/GDPR), and industry best practices.
  • Ensure policies remain current and relevant as regulatory landscapes evolve.

Regulatory Adherence

  • Monitor, interpret, and communicate national and international regulatory developments affecting corporate services and trust structures.
  • Provide compliance advisory to management and operational teams on MAS Notices, ACRA requirements, and cross-jurisdictional obligations.

Client Onboarding & Due Diligence

  • Oversee end-to-end client onboarding, including KYC/CDD checks, enhanced due diligence (EDD), and periodic reviews.
  • Resolve deficiencies arising from onboarding or review processes and ensure proper documentation and escalation where required.

Monitoring & Auditing

  • Plan and conduct regular internal audits and compliance monitoring to assess existing controls, operational efficiency, and regulatory alignment.
  • Identify gaps, propose corrective actions, and track remediation efforts.

Risk Management

  • Identify, assess, and manage compliance risks across business units and regional offices.
  • Collaborate with leadership to design effective risk mitigation strategies and strengthen internal controls.

Reporting & Communication

  • Prepare and present compliance reports for senior management and the Board.
  • Serve as the primary liaison with regulators (e.g., MAS, ACRA) and manage regulatory filings, inspections, and inquiries.

Issue Resolution

  • Investigate compliance breaches, suspected misconduct, and suspicious transactions.
  • Oversee the filing of Suspicious Transaction Reports (STRs) and implement corrective and preventive measures.

Regional Oversight

  • Provide compliance guidance and oversight to other regional offices.
  • Harmonies compliance standards across jurisdictions while supporting local business needs.

Requirement

  • Bachelor's degree in Law, Business Administration, Finance, or related discipline.
  • Minimum 57 years experience in compliance, legal, audit, or regulatory roles within corporate services providers, trust companies, financial institutions, or professional services firms.
  • Strong familiarity with MAS and ACRA regulatory frameworks.
  • Regional compliance experience is highly advantageous.
  • Professional certifications such as ICA, CCEP, CAMS, or equivalent are a strong advantage.
  • Strong analytical, problem-solving, and critical-thinking abilities.
  • Excellent communication, stakeholder management, and negotiation skills.
  • Ability to interpret complex regulations and translate them into practical business policies.
  • High attention to detail with strong integrity and ethical standards.
  • Commercially minded with the ability to balance regulatory requirements with business objectives.
  • Ability to oversee and coordinate compliance activities across regions.

If you're exploring new opportunities or would like more details, feel free to connect and reach out for a confidential discussion.

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About Company

Job ID: 135173981