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A prominent global investment firm managing diverse asset portfolios.
Guarantee adherence to all financial regulations and licensing mandates within the Singapore and Australian markets.
Supervise and audit ongoing regulatory commitments and specific license stipulations.
Manage the execution of Anti-Money Laundering and Counter-Terrorism Financing (AML/CFT) frameworks.
Act as the primary lead for data privacy, ensuring organizational alignment with PDPA standards and PDPC communication.
Establish and update internal compliance protocols and control systems to match evolving legal landscapes.
Offer expert guidance to senior leadership and front-office teams regarding product launches and regional marketing restrictions.
Execute periodic compliance education programs for staff across the APAC region.
Approve marketing content and client disclosures while managing fund registration workflows.
Monitor staff conduct, including personal investments, corporate hospitality, and potential conflicts of interest.
Support corporate governance functions, including board meeting preparation and official filings.
Provide back-up support for team members and collaborate on cross-functional projects.
Extensive experience in a compliance-focused role within the financial services or asset management industry.
In-depth knowledge of regulatory frameworks in Singapore (MAS) and Australia (ASIC).
Strong familiarity with AML/CFT legislation and data protection laws (PDPA).
Proven ability to provide practical compliance advice on complex business initiatives and cross-border marketing.
Excellent communication skills with the ability to deliver training and engage with senior stakeholders.
Meticulous attention to detail in reporting and reviewing marketing materials.
To apply online please use the apply function.
(EA: 94C3609/ R24124496)
Job ID: 144558753