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Babelon Investment Holdings Pte Ltd is seeking an experienced Compliance Manager to lead the group’s compliance function, ensuring regulatory adherence and strong controls.
You will conduct audits, manage risk assessments, develop policies, and deliver training to promote a culture of integrity across the business.
The role requires 5–7 years in compliance or risk within financial services or money lending, with excellent analysis and communication skills.
We are seeking an experienced and hands-on Compliance Manager to lead and oversee the compliance function across our Group. This role is critical in ensuring that all business operations adhere to applicable regulatory requirements and internal policies, while proactively identifying risks and operational gaps.
Regulatory Compliance & Oversight
Ensure the Group’s operations are fully compliant with all applicable laws, regulations, and regulatory guidelines.
Act as the primary liaison with regulatory authorities, managing communications, audits, and reporting requirements.
Risk Assessment & Gap Analysis
Identify operational gaps and compliance risks across business units.
Conduct regular risk assessments and recommend mitigation strategies.
Audit & Monitoring
Perform hands-on compliance audits of business operations and processes.
Develop and implement monitoring frameworks to ensure ongoing compliance.
Policy & Documentation
Develop, implement, and maintain comprehensive compliance and operational manuals.
Ensure policies are clearly communicated and consistently applied across the Group.
Training & Awareness
Design and deliver regular compliance training programs for employees.
Promote a strong compliance culture across all levels of the organization.
Advisory & Support
Provide practical compliance advice to business and operational teams.
Support new initiatives by assessing regulatory implications and requirements.
Bachelor’s degree in Finance, Business, or a related field.
Minimum 5 - 7 years of relevant experience in compliance, audit or risk management preferably within financial services or money lending industry.
Strong knowledge of regulatory frameworks governing money lending or consumer finance.
Proven experience in conducting audits, risk assessments, and developing compliance frameworks.
Hands‑on, detail‑oriented, and able to work independently as well as provide guidance to the team.
Strong analytical, problem‑solving, and communication skills.
Experience liaising with regulatory authorities is highly preferred.
Strong integrity and professional ethics
Good leadership and excellent stakeholder management skills
Ability to translate regulatory requirements into practical business processes
Proactive and solution‑oriented mindset
Opportunity to shape and lead the compliance function in a fast growing organisation at a Group level
Dynamic and growth-oriented working environment
Meaningful role with direct impact on business integrity and sustainability