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Compliance Officer

Location: Singapore

Employment Type: Full-time

Responsibilities
  • Provide comprehensive compliance advisory support and guidance to both back and front office teams, ensuring adherence to relevant laws, regulations, and guidelines.

  • Conduct thorough compliance reviews and testing, covering areas such as trade surveillance, AML (Anti-Money Laundering), and BCS (Business Conduct Standards). Promptly escalate any breaches of regulatory requirements, misconduct, or violations of company policies. 

  • Develop compliance review programs, self-assessment questionnaires, and any other necessary compliance initiatives as directed by the Head of Department, front and back office, parent company, or relevant regulatory bodies.

  • Undertake advisory and compliance tasks or projects as required by the Head of Department, ensuring alignment with organizational goals. 

  • Act as a liaison with relevant regulatory authorities and Head Office, communicating major findings and fulfilling compliance reporting obligations. 

  • Regularly review and update policies and procedures to ensure they remain current and effective. 

  • Stay informed on regulatory updates and ensure timely implementation of revised requirements.

  • Conduct awareness briefings and staff training sessions on regulatory requirements, company policies, and procedures. 

  • Undertake any other ad-hoc responsibilities as assigned. 

Qualifications
  • Degree holder with a minimum of 3 years of relevant experience.

  • Familiarity with relevant laws, regulations, and exchange rules in the securities and/or futures market (SFA, FAA, SGX-ST Rules, Futures Trading Rules).

  • Meticulous, with a positive and proactive attitude. 

  • Strong communication, interpersonal, analytical and organizational skills 

  • A team player who can work independently and interact with people at all levels.

  • Relevant experience in exchanges (e.g., in market surveillance or supervision departments), public accounting firms, securities and futures brokerage firms, and other financial institutions is encouraged.

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DA Financial Service (S) Pte Ltd Logo

Address: 4 Shenton Way, #04-06, SGX Centre 2, Singapore 068807

Email: dasg-cs@directaccess.com.sg

Phone: +65 6379 9415

DA Financial Service (S) Pte. Ltd. is a licensed corporation authorized by the Monetary Authority of Singapore (Licence No. CMS101371), providing global futures brokerage services​

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This advertisement has not been reviewed by the Monetary Authority of Singapore.

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Trading in futures carries substantial risk and is not suitable for all investors as it can result in losses exceeding deposits or principal amount, therefore, please ensure that you fully understand the risks and costs involved by reading our risk and disclosure statements and disclaimer.

©2025 by DA Financial Service (S) Pte. Ltd.

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