Your main responsibility will be carrying out detailed research and completing documentation and risk assessments. You will ensure the employees are aware of their roles in compliance as well as conducting internal inspections and communication with others. You will initiate timely review on policies and procedures to keep it up to date with regulatory and Group internal control requirements. You will execute and monitor the Compliance Program and act as the compliance control room for the Singapore Office. You will participate in special projects on an ad-hoc basis. Other compliance work may be assigned from time to time by Group Compliance.
To qualify, you should have a bachelor’s degree or other professional equivalent qualifications with at least 4 years of relevant compliance experience in Financial Institutions and Securities firms. You must have good communication, interpersonal and influencing skills.
To apply for this job
Contact: Lee Li (R1984212) quoting job ref: VSA-8002
Telephone: +65 91121126
Email: lwong@valuesearchasia.com
EA: 21C0806