Compliance Manager

HashKey Group

Singapore

On-site

SGD 120,000 - 180,000

Full time

1 hour ago
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Job summary

HashKey Group in Singapore seeks a Compliance Manager to own and strengthen the compliance framework for asset management and liquidity activities, serving as the day-to-day compliance lead and primary MAS liaison.

You will oversee CMS-licensed fund management activities, develop controls for market conduct, AML/CFT, onboarding, and risk assessments; engage MAS for licenses and inspections, and shape local policies and monitoring plans.

Qualifications

  • 6+ years of compliance experience in Singapore financial services.
  • Knowledge of CMS licensing regime and MAS AML/CFT guidance.
  • Experience engaging with MAS on license applications or inspections.
  • Understanding of digital asset markets a plus.

Responsibilities

  • Oversee compliance for fund management activities in Singapore under CMS licensing.
  • Build and maintain compliance controls for liquidity and trading activities.
  • Review onboarding from regulatory and AML/CFT perspectives.
  • Act as primary MAS contact, monitor regulatory developments, assess impact, and lead implementation.
  • Oversee AML/CFT framework including customer due diligence and risk assessments.
  • Develop and review local compliance policies, procedures, and the annual monitoring plan.

Skills

Compliance management
Regulatory liaison
AML/CFT
Risk assessment
Governance

Education

Bachelor's degree in Law/Finance/Economics

Job description

We are looking for a Compliance Manager based in Singapore to own and strengthen the compliance framework for our asset management and liquidity businesses. You will be the day-to-day compliance lead for the Singapore operations and a key point of contact with the Monetary Authority of Singapore (MAS).

Key Responsibilities

  • Oversee compliance for fund management activities in Singapore, including ongoing obligations under the relevant Capital Markets Services (CMS) licensing regime.
  • Build and maintain compliance controls for liquidity and trading activities, covering market conduct, conflicts of interest, personal account dealing, information barriers, and trade surveillance.
  • Review counterparty, exchange, and custodian onboarding from a regulatory and AML/CFT perspective.
  • Act as the primary point of contact with MAS for the business, track and interpret regulatory developments in Singapore, assess business impact, and lead implementation.
  • Oversee the AML/CFT framework, including customer due diligence, enhanced due diligence, sanctions screening, etc. Conduct or coordinate risk assessments and periodic compliance reviews.
  • Develop, maintain, and periodically review local compliance policies, procedures, and the annual compliance monitoring plan.

Requirements

  • Bachelor's degree or above in Law, Finance, Economics, or a related field, with 6+ years of compliance experience in Singapore financial services institutions.
  • Solid working knowledge of the Financial Services and Markets Act, MAS AML/CFT Notices, and other related guidelines.
  • Proven experience engaging directly with MAS, such as handling license applications, inspections, or regulatory queries.
  • Understanding of digital asset markets, trading and market-making activities, and associated risks is strongly preferred.
  • Sound judgment, strong stakeholder management skills, and the ability to give practical, business-oriented advice in a fast-moving environment.
  • Excellent written and spoken English; proficiency in Mandarin is an advantage for communication with regional teams.
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