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Compliance Officer, Asset Management

Compliance Officer, Asset Management

Wilson
2-6 Years
  • Posted a day ago
  • Be among the first 10 applicants

Job Description

A growing investment management firm is seeking a Compliance Officer to join its Singapore office. This is an excellent opportunity for a compliance professional looking to gain broad exposure across regulatory compliance, governance, monitoring, AML/CFT, personal account dealing, regulatory reporting, and operational risk within a dynamic and entrepreneurial asset management environment. The role supports both Singapore and international regulatory obligations and offers direct exposure to senior management and key business stakeholders.

Key Responsibilities

  • Support the administration and enhancement of the firm's compliance framework, policies, and procedures.
  • Conduct compliance monitoring, testing, and periodic reviews of internal controls.
  • Assist with regulatory filings, notifications, and reporting obligations.
  • Monitor regulatory developments and assess their impact on the business.
  • Administer employee compliance matters, including personal account dealing, conflicts of interest, and compliance training.
  • Support AML/CFT, sanctions, investor onboarding, and ongoing due diligence activities.

Requirements

  • Degree with 2-6 years of relevant compliance experience within compliance consulting, big 4 regulatory advisory, asset management, investment management, banking, or financial services.
  • Strong understanding of regulatory compliance, governance, and risk management principles.

Consultant Registration No. R1332494

Singapore Employment Agency License No: 16S8069

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More Info

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Key Skills

CFT

investor onboarding

sanctions

personal account dealing

regulatory compliance governance

notifications

About Company

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