Job description
Key Responsibilities
Maintain MAS licensing obligations and ensure local compliance policies align with global standards.
Provide clear, practical compliance advice to business leaders on regulatory changes and day-to-day queries.
Engage with business teams to monitor new initiatives and address compliance needs promptly.
Prepare essential board/committee materials and monthly compliance reports for Global Compliance.
Execute monitoring plans and review marketing/distribution activities for compliance.
Manage compliance breaches and support remediation efforts.
Deliver compliance training for new joiners and refreshers for existing staff.
Other ad hoc duties as assigned
Key Qualifications
5 years in compliance within asset management or investment firms.
Familiarity with fund management processes (investment, trade compliance, sales & marketing) and financial crime prevention (AML, ABC, fraud, sanctions).
Understanding of risk management, internal controls, and compliance standards.
Ability to simplify complex compliance concepts for non-specialists.
Strong attention to detail, problem-solving, and ability to work independently.
Comfortable working with different teams and stakeholders.
Quick learner who can manage priorities effectively in a short-term role.

