Compliance Analyst

MONFX PTE. LTD.

Singapore

On-site

SGD 60,000 - 90,000

Full time

3 days ago
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Job summary

Monex is seeking a Compliance Analyst in Singapore to review financial crime/AML procedures, focusing on enhanced due diligence, onboarding and ongoing monitoring.

You will handle KYC/CDD reviews, sanctions screening, reports and support the MLRO and Head of Financial Crime to ensure regulatory compliance across jurisdictions.

Qualifications

  • Bachelor's degree or diploma in law, finance, or related field.
  • Strong knowledge of global AML/FC regulations and risk controls.
  • Experience with KYC/CDD reviews, sanctions screening, and CFT requirements.
  • Experience in regulated financial services and cross-jurisdiction compliance.
  • Fresh graduates with interest in financial crime are welcome to apply.

Responsibilities

  • Review financial crime/AML procedures, with focus on EDD onboarding and ongoing monitoring.
  • Perform KYC/CDD reviews and analyse entity/individual documentation.
  • Screen clients against sanctions, PEPs, and adverse media using screening tools.
  • Coordinate with relationship managers and compliance/risk teams to resolve gaps.
  • Support regulatory requests, audits, and reporting, including STRs where needed.
  • Monitor alerts from AML systems and assist in investigations.

Skills

Regulatory compliance
AML/FC knowledge
KYC/CDD experience
Sanctions screening
Cross-functional teamwork

Education

Bachelor's degree
Diploma

Job description

Monex is a leading global financial solutions provider, offering a complete set of tools to support business growth and strategic financial operations.

We specialise in FX risk management and international payments, helping corporate and institutional clients design tailored FX solutions to navigate currency volatility with confidence. Our team of FX specialists implement well-considered currency strategies, offering dedicated support to help clients manage their payment needs – whether for goods, services, or direct investments.

In 2023, Monex facilitated $309 billion in FX turnover, managed $10.7 billion in assets, and processed 8.5 million transactions. With offices across North America (Canada, the US, and Mexico), Asia (Singapore), and Europe (the UK, Spain, and the Netherlands), we serve over 66,000 clients worldwide.

By combining global reach with deep local market expertise, Monex enhances businesses with a suite of financial solutions and FX market analysis to help optimise efficiency, mitigate currency risk, and protect margins in an increasingly complex financial landscape. Our corporate client experience is further enhanced by our dedicated sector expertise across a range of industries.

Job Overview

The Compliance Analyst is responsible for the review of related financial crime/AML procedures across the business, paying particular attention to the on boarding of Enhanced Due Diligence (‘EDD’) clients and subsequent ongoing monitoring.

The role also focuses on transaction monitoring alerts, KYC/CDD reviews, sanctions screening, and regulatory compliance support.

The role involves supporting the Head of Financial Crime and compliance officers based in London and Money Laundering Reporting Officer (‘MLRO’) to ensure all areas of financial crime, including AML, sanctions and ongoing client monitoring and transactional monitoring are all adhered to.

Key Responsibilities & Accountabilities
  • Customer Due Diligence (CDD): Gather, analyze, and validate legal entity and individual identity documents.
  • Risk Assessment: Screen clients against sanctions, politically exposed persons (PEPs), and adverse media lists using specialized screening tools.
  • Stakeholder Coordination: Act as the bridge between clients, relationship managers, and internal compliance or risk teams to clear documentation gaps
  • Adhere to local regulatory frameworks, such as local monetary authority guidelines on AML and countering the financing of terrorism (CFT)
  • Perform document gap analysis by self-sourcing and reviewing available documentation. Evaluating information available publicly or through vendors for multiple Asian jurisdictions
  • Support audit, regulatory, and compliance review requests by preparing required documentation
  • Monitor AML system-generated alerts andperform initial investigation on potential suspicious transactions
  • Support escalation and preparation of Suspicious Transaction Reports (STRs) under guidance of senior team members
  • Review sanctions screening hits (PEP, sanctions, adverse media) and ensure proper disposition in line with AML policies
  • Monitor regulatory updates and support implementation of control enhancements
  • Perform other operational and compliance duties as assigned by the Compliance team
What are we looking for
  • Diploma, Bachelor's degree or an equivalent professional qualification
  • Prior experience in a similar role within a regulated financial services environment
  • Broad financial crime exposure to global AML and FC, specifically with high risk, EDD clients
  • Experience in regulatory compliance for regulated payment services firm or capital markets services licensee
  • Demonstrated experience in managing compliance issues across jurisdictions and multiple legal entities
  • Fresh graduates with a strong interest in compliance and financial services are welcome to apply
Required Skills and Qualifications
  • Strong problem-solving and critical thinking skills
  • Client-centric mindset with a focus on service excellence
  • High integrity and ability to operate within a regulated environment
  • Collaborative team player with cross-functional engagement capabilities
  • Proactive, adaptable, and results-driven
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