We have an excellent opportunity for a senior compliance manager to join an international large fiduciary company based in Singapore. As an assistant manager, you will be required to take responsibility in fulfilling the client's regulatory compliance advisory processes. This will include managing the compliance for the client's MAS licence application to monitoring ongoing compliance work to advising on statutory compliance regulations.
You will conduct and review associate's work on regulatory compliance review based on MAS' regulatory requirements. Prepare and review associate's work on regulatory reporting based on MAS' risk-based capital requirements. You will also be required to execute ad-hoc projects and write articles on compliance matters which will affect the fund management industry.
The ideal candidate will be an organized team player with strong communication and management skills who will be able to manage multiple internal and external stakeholders.
Requirements include 3-4 years of compliance experience and broad knowledge of Securities and Futures Act, Financial Advisor Act, and other statutory requirements relating to fund management. Our client is offering an attractive remuneration package with additional benefits. Opening is for Singaporean and PR candidates only.
For further information please call Jimmy Soh on +65 8818 4025 or email your current cv and any other relevant information to firstname.lastname@example.org
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