MAS (Licence No. CMS101371)
Responsibilities
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Provide comprehensive compliance advisory support and guidance to both back and front office teams, ensuring adherence to relevant laws, regulations, and guidelines.
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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.
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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.
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Undertake advisory and compliance tasks or projects as required by the Head of Department, ensuring alignment with organizational goals.
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Act as a liaison with relevant regulatory authorities and Head Office, communicating major findings and fulfilling compliance reporting obligations.
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Regularly review and update policies and procedures to ensure they remain current and effective.
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Stay informed on regulatory updates and ensure timely implementation of revised requirements.
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Conduct awareness briefings and staff training sessions on regulatory requirements, company policies, and procedures.
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Undertake any other ad-hoc responsibilities as assigned.
Qualifications
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Degree holder with a minimum of 3 years of relevant experience.
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Familiarity with relevant laws, regulations, and exchange rules in the securities and/or futures market (SFA, FAA, SGX-ST Rules, Futures Trading Rules).
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Meticulous, with a positive and proactive attitude.
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Strong communication, interpersonal, analytical and organizational skills
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A team player who can work independently and interact with people at all levels.
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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.