In this role, you will provide compliance advisory, regulatory and licensing support and assist in strengthening the Compliance control framework and reporting. Working together with a team, you will endeavour to build a strong Compliance culture and support the effective implementation of Compliance policies and processes.
To qualify for the role, you should possess at least 3 - 6 years of relevant compliance experience gained within the banking industry. Knowledge of Singapore regulations such as Securities & Futures Act and SGX rules. Hands-on attitude with a flexible approach, good interpersonal skills and the ability to drive improvements and deliverables are crucial for the role.
Interested applicants, please apply with your updated resume. Your interest will be treated with the strictest confidentiality.
EA Reg. No: R1879285 | EA Licence No: 16S7973