Job Search and Career Advice Platform

Enable job alerts via email!

Compliance Manager

Antalpha

Singapore

On-site

SGD 80,000 - 120,000

Full time

Yesterday
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A financial services company located in Singapore is seeking an experienced professional in AML and Regulatory Compliance Advisory. This role requires 7-12 years of strong experience in compliance related to capital markets, with a focus on AML policies, onboarding, and regulatory interpretation. The ideal candidate will lead initiatives, deliver training, and collaborate across teams. Join a transparent team dedicated to shaping compliance processes across traditional finance and innovative on-chain solutions.

Benefits

Work directly with senior leadership
Influence long-term frameworks
Join a transparent and solutions-focused team

Qualifications

  • 7–12 years in AML, compliance, or capital markets compliance.
  • Strong institutional onboarding and CDD/EDD expertise.
  • Proven experience drafting policies and governance frameworks.

Responsibilities

  • Lead CDD/EDD for institutional and corporate clients.
  • Refine AML/CFT policies, procedures, and playbooks.
  • Deliver internal training to strengthen compliance awareness.

Skills

AML expertise
Compliance interpretation
Strong communication
CDD/EDD knowledge
Job description

If you enjoy roles where the work is never one-dimensional, this might be your fit. You’ll operate across AML/Onboarding and Regulatory Compliance Advisory, shaping policies while staying close to real-world execution. You’ll work with business leaders to make compliance clearer, stronger, and more scalable in an environment that’s growing fast — and you’ll be the person who turns regulations into practical, workable solutions.

Key Responsibilities
AML / Onboarding
  • Lead CDD/EDD for institutional and corporate clients.
  • Refine AML/CFT policies, procedures, and playbooks.
  • Deliver internal training to strengthen compliance awareness.
  • Oversee screening, alerts, and client risk profiling.
  • Support new bank account openings and expanding banking partnerships.
  • Handle escalations, enhanced due diligence, and investigations.
Compliance Advisory
  • Interpret regulations and advise business teams clearly and pragmatically.
  • Review new business activities and products for compliance impact.
  • Strengthen policies on conduct, mis-selling, complaints, and data protection.
  • Support regulatory submissions, reporting, and licence-related work.
  • Collaborate with product, risk, and operations teams across the product lifecycle.
  • Contribute to frameworks supporting future offerings, including brokerage models and tokenised assets.
Who You Are
Must-Have
  • 7–12 years in AML, compliance, or capital markets compliance.
  • Strong institutional onboarding and CDD/EDD expertise.
  • Proven experience drafting policies and governance frameworks.
  • Strong ability to interpret regulations for business application.
  • Familiarity with capital-market environments
  • Experience liaising with banks on account openings and reviews.
  • Clear communicator with training capability.
Nice-to-Have
  • Exposure to fintech or digital-asset compliance.
  • Experience in brokerage, asset management, or PSA-regulated businesses.
  • Comfort using data or analytics in compliance monitoring.
Why Join NorthStar?
  • Shape compliance at the intersection of traditional finance and on-chain innovation.
  • Work directly with senior leadership and industry veterans.
  • Influence long-term frameworks across capital markets and next-gen assets.
  • Join a transparent, solutions-focused team building for sustainable growth.
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.