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Role Overview
We are looking for a detail-oriented and analytical Compliance Officer, Trade Surveillance to join our Compliance team. In this role, you will help safeguard market integrity by monitoring trading activities, investigating unusual trading behaviour, reviewing surveillance alerts, and supporting regulatory enquiries.
This is an excellent opportunity for candidates interested in developing expertise in market conduct surveillance, market abuse detection, securities and derivatives trading, and regulatory compliance. You will gain exposure to Singapore's financial markets while working closely with Compliance, AML, Front Office, Operations, and regulatory authorities.
Key Responsibilities & Accountabilities
1. Trade Surveillance Monitoring and Investigations
2. Regulatory and Enforcement-Related Reviews
3. Trade Surveillance Reporting, Escalation and Regulatory Notifications
4. Surveillance Parameter Review, Alert Calibration and Framework Enhancement
Skills & Qualifications
Personal Attributes
Job ID: 153926369
Skills:
Microsoft Excel, Actimize, Nasdaq SMARTS, market conduct and surveillance concepts, securities and derivatives trading, Report Writing
Skills:
Microsoft Office, AML CFT compliance, NICE Actimize, Transaction Monitoring
Skills:
Know Your Client - KYC, Aml, Microsoft Excel, Private Banking, Time Management, Adaptability, Multitasking, Microsoft Word, Screening, Microsoft Powerpoint, Regulatory Compliance, High Level Of Accuracy
Skills:
Aml, fraud risk management, financial crime risk management, surveillance systems, preparing STRs, CFT regulations, investigating suspicious transactions, Transaction Monitoring
Skills:
Know Your Client - KYC, Microsoft Office, Microsoft Excel, Compliance Testing, Banking, Administrative Work, Data Entry, Business Support Unit, Screening, Administrative Support, Microsoft Powerpoint, Regulatory Compliance