About Us
Our client is a Singapore-listed real estate investment trust regulated under the Capital Markets Services Licence (CMSL) regime, managing a diversified portfolio of income-generating assets. As a listed entity operating under the oversight of MAS and SGX, they hold ourselves to the highest standards of governance, transparency and regulatory compliance, and they are looking for an experienced compliance and risk leader to help steward the organisation through an evolving regulatory landscape.
How This Role Benefits You
Join a listed REIT platform where you will operate at Board level, shaping the compliance and enterprise risk agenda for a regulated capital markets entity. This is a rare opportunity to build and own the compliance function end-to-end, working directly with the Board, senior management and regulators (MAS, SGX) on high-impact governance matters. You'll gain exposure across risk, compliance, sustainability integration and investor relations, positioning you as a well-rounded senior leader in the regulated real estate and asset management space.
Key Responsibilities
- Regulatory Compliance & Licensing - Ensure ongoing compliance with the CIS Code, Securities and Futures Act (SFA), SGX Listing Rules, Code of Corporate Governance, AIFMD and CMSL conditions, while managing the day-to-day relationship with MAS and SGX and monitoring new regulatory developments for impact assessment.
- Enterprise Risk Management - Identify, assess and evaluate risks across the business, including emerging and sustainability-related risks, and ensure mitigating controls are implemented in line with MAS risk management guidelines provide risk education and training to the Board, management and staff.
- Internal Controls & Audit Coordination - Develop and maintain a robust internal control framework, review policies, procedures and authority matrices, and work closely with internal and external auditors to coordinate the audit function and track remediation of findings.
- Board & Governance Support - Advise the Board on regulatory and statutory obligations, support the smooth running of Board and general meetings, and manage conflicts of interest and AML/CFT and sanctions compliance obligations.
- Cross-Functional Compliance Oversight - Partner with Investor Relations and other internal stakeholders to ensure annual reports, sustainability reports, SGXNET announcements and marketing materials meet regulatory requirements, and coordinate responses to regulatory consultation papers.
Key Requirements
- Minimum 8-10 years of relevant experience in risk and compliance, ideally within a CMSL-licensed entity, REIT, fund management company or other regulated financial institution.
- Strong working knowledge of the CIS Code, SFA, SGX Listing Rules, Code of Corporate Governance and AIFMD, with demonstrated experience liaising directly with MAS and SGX.
- Proven track record in enterprise risk management, including risk identification, assessment and the design of mitigating controls, ideally with exposure to sustainability/ESG risk integration.
- Experience supporting Board-level governance processes, including meeting administration, resolutions, and advising directors on regulatory obligations.
- Strong stakeholder management and communication skills, with the ability to work cross-functionally with Investor Relations, Legal, Finance and external auditors/regulators.
If you feel this role suits you or anyone else, please reach out to Asher Tan at [Confidential Information] or +65 6432 8315
Asher Tan
Reg No: R1988776
EA License No: 20S0075