About Us
Alpha Ladder Group is a global fintech holding and innovation platform focused on enabling regulated digital finance across payments, tokenization, and asset management. Through its subsidiaries such as MetaComp, Alpha Ladder builds and scales regulated financial and digital asset infrastructure across global markets.
About the Role
We are looking for a hands-on Regulatory Compliance Manager to support ALFIN and AGFM . This role focuses on implementing regulatory requirements, conducting ongoing monitoring, supporting audits/inspections, and ensuring day-to-day adherence with applicable laws and regulations and internal compliance standards. You will work closely with product, operations, engineering, and partner teams to help operationalize compliance controls as the business scales.
You will report to the Head of Compliance and play a key second line of defence role in strengthening our compliance-by-design environment.
Key Responsibilities
- Be the Subject Matter Expert to provide advisory and guidance on regulatory matters and potential risks
- Keep abreast of regulatory updates and shifts in regulatory landscape for continuous compliance
- Manage licence applications, regulatory submissions, and correspondence with MAS
- Develop and maintain compliance manuals, frameworks, and risk registers
- Conduct compliance monitoring programmes, internal reviews, and regulatory reporting
- Deliver compliance training
Minimum Qualifications
- 5 years of compliance experience in financial services (fund management, brokerage, RMO or banking)
- Proven track record in regulatory compliance, liaising with MAS, including inspections and audits.
- Strong interpersonal skills with ability to influence stakeholders across diverse business functions. High level of integrity, judgement and ability to work independently.
- Detail-oriented, analytical and adaptable in a fast-paced environment
Preferred Qualifications
- 8 years of compliance experience in financial services (fund management, brokerage, RMO or banking)
- Proven track record in regulatory compliance, liaising with MAS, including inspections and audits.
- Strong interpersonal skills with ability to influence stakeholders across diverse business functions. High level of integrity, judgement and ability to work independently.
- Detail-oriented, analytical and adaptable in a fast-paced environment
Success Measures
- Timely and accurate completion of monitoring, reporting, and compliance testing.
- Well-documented controls and audit-ready evidence with minimal remediation required.
- Improved quality of alerts and reduction in false positives.
- Strong cross-functional relationships and effective implementation of compliance-by-design.
- Positive outcomes in MAS inspections, thematic reviews, and internal audits.
What We Offer
- Opportunity to work at the intersection of payments, digital assets, and innovative financial infrastructure.
- Exposure to complex licensing environments and emerging regulatory landscapes.
- Career development toward senior compliance leadership roles.
- Inclusive, diverse, collaborative work environment.
We are committed to creating an inclusive workplace where every individual feels respected, valued, and empowered to contribute. We celebrate diversity in all its formsbackground, ethnicity, gender, identity, orientation, experience, and thoughtand believe it strengthens our culture and our work. We are proud to be an equal opportunity employer and do not discriminate on the basis of race, colour, religion, gender, sexual orientation, gender identity or expression, national origin, age, disability, or any other protected characteristic.