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jc consulting

Compliance Officer

5-8 Years
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  • Posted 18 hours ago
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Job Description

Our client, a dynamic Asset Management company in Singapore, is seeking a highly motivated and high-potential Compliance Officer. This role will support the local compliance infrastructure to ensure full alignment with the Monetary Authority of Singapore (MAS) regulations, with a heavy emphasis on secondary market trading and cross-border regulatory requirements.

Key Responsibilities

  • Monitor daily trading activities to ensure compliance with investment mandates, prospectus limits, and regulatory restrictions across secondary markets.
  • Assist in monitoring and managing compliance risks associated with cross-border activities, dual-jurisdiction fund structures across different regions.
  • Actively learn and progressively take ownership of reporting to and aligning with the UK shareholder's Compliance team. This includes implementing global policies, group-level reporting, and mapping UK/European regulatory expectations (such as FCA principles) to local operations.

Key Requirements

  • 5 to 8 years of compliance experience within financial services, specifically with exposure to secondary markets (buy-side asset management or hedge funds preferred).
  • Strong foundational knowledge of MAS regulations. Exposure to, or a keen interest in learning, UK (FCA) or European regulatory frameworks is highly desirable.
  • Outstanding communication skills, with strong proficiency in English and Mandarin are required to effectively engage with stakeholders across relevant markets.

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About Company

Job ID: 148525797

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