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AVP/ Senior Associate, Specialist, Compliance Testing, Group Legal, Secretariat & Compliance

300005 Chief Executive's Office_00002555

Singapore

On-site

SGD 80,000 - 120,000

Full time

Yesterday
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Job summary

A prominent banking institution in Singapore is seeking an AVP/Senior Associate specializing in Compliance Testing. The role involves formulating compliance testing programs, executing methodologies, and identifying risks within processes. Candidates should possess a Bachelor's Degree and have 4 - 9 years of relevant experience in banking or audit. We offer a competitive salary and supportive environment for professional growth.

Benefits

Competitive salary and benefits package

Qualifications

  • 4 - 9 years of work experience in banks or Big 4 with banking audit or advisory.
  • Advantage for those with internal audit or prior compliance testing experience.
  • Able to work independently and propose new initiatives.

Responsibilities

  • Participates in the formulation of compliance testing programs.
  • Executes programs in accordance with compliance testing methodology.
  • Identifies risks and influences stakeholders to address them.

Skills

Analytical and detail-oriented
Team-oriented
Communication skills

Education

Bachelor's Degree

Tools

SQL
Job description

AVP/ Senior Associate, Specialist, Compliance Testing, Group Legal, Secretariat & Compliance (2400008W)

Job Description

Business Function

Group Legal, Compliance & Secretariat ensures that the bank's interests are protected by zealously guarding and enhancing its reputation and capital. We also work to maintain a good standing with all our regulators, customers, and business partners. Because we believe that at the heart of business banking is to uphold the values of trust and integrity for all our stakeholders.

Responsibilities
  • Participates in the formulation of a risk-based program for group-wide compliance testing on LCS risk types and proposes methods of testing and/or analytics to increase sample-to-observation rate.
  • Executes the approved program in accordance with compliance testing methodology while being agile to refocus on new priorities when needed.
  • Identifies risks via evaluation of design and operating effectiveness of process and controls and influences stakeholders to take appropriate management actions.
  • Validates closure of management actions adequately addresses risks arising thereof.
  • Proposes, develops and/or drives team initiatives that will help to develop and improve internal processes and/or final deliverables.
Requirements
  • A Bachelor's Degree.
  • 4 - 9 years of work experience in banks with 1st or 2nd line risk or compliance or Big 4 with banking audit or advisory.
  • Advantage for those with internal audit or prior compliance testing experience.
  • Analytical and detailed-oriented.
  • Team-oriented and a positive change agent who seeks to challenge the norm and articulate fresh perspectives in a respectful, constructive manner.
  • Able to work independently.
  • Good communication and interpersonal skills.
  • Advantage for those with SQL or other programming skills.
Apply Now

We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.

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