About Our Client
Our client is a leading global private bank with a strong international footprint and a continued focus on regulatory excellence. As part of its investment in governance and controls, the bank is seeking a Head of Compliance to lead regulatory compliance for the Singapore business.
This is a senior, visible role partnering closely with senior management and regulators, with responsibility for upholding a strong policy and control environment.
Key Responsibilities
- Lead regulatory compliance oversight for Singapore, ensuring adherence to MAS regulations and internal standards.
- Own and maintain compliance policies, procedures, and control frameworks.
- Advise senior management and the business on regulatory requirements, risk interpretation, and control effectiveness.
- Oversee regulatory change management, issue identification, and remediation tracking.
- Manage regulatory engagements, inspections, and ongoing supervisory matters.
- Present key compliance risks and themes to governance forums and senior committees.
Requirements
- 12+ years of experience in regulatory compliance within a bank or financial institution.
- Strong knowledge of Singapore regulations and MAS expectations.
- Proven experience in policy, controls, and compliance governance.
- Strong stakeholder management skills and the ability to provide effective challenge.
Application Process
Please submit your resume to Emily Tan at [Confidential Information].
Only shortlisted candidates will be contacted.
EA License No.: 24S2395
Registration No.: R1106860