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Kerry Consulting is seeking an experienced Compliance Lead for Singapore Wealth Management. The role will act as the main Compliance contact for Singapore and support the regional framework across Singapore and Hong Kong.
You will handle regulatory and product advisory, client conduct, cross-border matters, AML/CFT, and monitor regulatory developments to support senior business leaders and regional controls.
This role will serve as the key Compliance contact for the Singapore Wealth Management business while supporting the broader regional compliance framework across Singapore and Hong Kong. Responsibilities span regulatory and product Compliance advisory, client conduct and suitability, cross-border activities, AML/CFT and sanctions, regulatory developments and compliance monitoring, working closely with business leaders and regional control functions.
The ideal candidate will have at least 8-12 years of relevant Compliance experience within Private Banking, Wealth Management, with experience in Product Compliance and Financial Crime regulations. Strong knowledge of MAS regulations and cross-border requirements; exposure to Hong Kong regulations would be advantageous.