We are partnering with a leading international financial institution seeking an experienced Compliance Advisory professional to support its Private Banking business in Singapore. This is a key advisory role working closely with senior stakeholders across the region.
Key Responsibilities
- Provide regulatory and compliance advisory to the Private Banking business
- Support development, review, and implementation of compliance policies and frameworks
- Manage regulatory interactions, inspections, notifications, and submissions
- Coordinate internal/external audits and support remediation actions
- Monitor regulatory developments and assess business impact
- Strengthen governance and compliance culture across the business
Requirements
- Bachelor's degree; relevant compliance/risk/legal qualifications preferred
- 10+ years of experience in financial services compliance, with minimum 6 years in private banking/wealth management
- Strong working knowledge of MAS regulations
- Experience handling regulatory queries, audits, and senior stakeholder management
- Strong analytical, communication, and problem-solving skills
Kindly note that only shortlisted candidates will be contacted.