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Compliance & Regulatory Analyst

1-5 Years
SGD 4,500 - 7,000 per month
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  • Posted 11 hours ago
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Job Description

Overview

Blue Edge Advisors is seeking a Compliance & Regulatory Analyst (Junior to Mid-Level) to support the firm's regulatory and governance functions.

This role is ideal for individuals who are highly analytical, detail-oriented, and have a strong interest in interpreting regulations, drafting policies, and ensuring regulatory alignment across the firm.

You will play a key role in translating regulatory developments into practical internal frameworks, while supporting the firm's ongoing compliance obligations.

Key Responsibilities

1. Regulatory Policy & Framework (Core Focus)

  • Monitor, review, and interpret regulatory updates, circulars, and guidelines from MAS and NFA.
  • Translate regulatory requirements into internal policies, procedures, and controls.
  • Draft, review, and continuously enhance compliance manuals, SOPs, and internal governance frameworks.
  • Ensure policies remain current, practical, and aligned with evolving regulatory expectations and industry best practices.

2. Regulatory Liaison & Governance

  • Act as a point of contact for MAS, NFA, auditors, and external stakeholders.
  • Support and coordinate regulatory inspections, audits, and reviews.
  • Track and ensure timely resolution of regulatory findings or action items.

3. Regulatory Reporting & Surveys

  • Coordinate and submit 40 regulatory surveys annually (MAS, NFA, internal).
  • Work cross-functionally to gather, validate, and reconcile data.
  • Ensure accuracy, consistency, and timeliness in all regulatory submissions.

4. Compliance Monitoring & Record Keeping

  • Maintain records for licenses, registrations, employee personal trading, and outside business activities.
  • Ensure ongoing compliance with MAS and NFA requirements across representatives and the firm.

5. AML/CFT Oversight

  • Conduct KYC and AML due diligence on clients and prospects.
  • Perform periodic reviews and support internal AML risk assessments.
  • Assist in delivering AML training and strengthening internal controls.

6. Advisory & Documentation Review

  • Provide practical, commercially aware compliance guidance to internal stakeholders.
  • Review contracts, offering documents, and agreements to ensure regulatory compliance.
  • Ensure proper execution, documentation, and record-keeping standards are maintained.

Qualifications & Skills

  • Diploma or Degree in Law, Banking & Finance, Risk Management, Business, or related fields.
  • 1-5 years of experience in compliance, regulatory, or governance roles (financial services preferred).
  • Strong understanding of MAS regulations (NFA exposure is a plus).
  • Proven ability to read, interpret, and draft policies or regulatory documents.
  • Strong analytical and numerical skills able to validate and interpret data accurately.
  • Highly organised, meticulous, and methodical with strong attention to detail.
  • Able to manage multiple deadlines and high-frequency reporting cycles.
  • Strong communication skills with the ability to work across teams and with external parties.

Ideal Candidate Profile

  • Naturally detail-oriented and structured in thinking
  • Comfortable working with regulations, legal language, and documentation
  • Enjoys policy writing, editing, and continuous improvement of frameworks
  • Able to balance analytical work with operational execution

Why Join Blue Edge

  • Exposure to multi-jurisdictional regulatory environments (MAS & NFA)
  • Strong learning curve in policy development and regulatory interpretation
  • Opportunity to work closely with senior management on compliance strategy
  • Dynamic and growing platform with institutional standards

More Info

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Job ID: 145825881

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