Develop and implement compliance framework, firm's policies and procedures and best practice standards
Conduct compliance reviews to identify gaps between local regulations and client requirements
Provide advisory to business and be an impactful partner to support the business
Develop and deliver training programs
Update on new regulations and industry developments; for all aspects of Singapore compliance operations including but not limited to compliance monitoring, product design and distribution, regulatory reporting and filings, oversight of fund administrators, regulatory change management and handling regulatory enquiries.
At least 5 years of experience, covering Regulatory Compliance in Asset Management industry
Good understanding and working knowledge of Singapore legislations
Able to multi-task and work under tight deadlines
Team player with strong communication skill
To apply, please email your resume to firstname.lastname@example.org.