Compliance Manager — Commodities & Global Markets (SG)

Macquarie Bank Limited

Singapore

Hybrid

SGD 120,000 - 180,000

Full time

14 days+
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Benefits offered by this job

1 wellbeing leave day and flexible-? (
Parental leave
Volunteer leave
Work from home equipment reimbursement

Job summary

Macquarie Bank Limited is seeking a Manager in Singapore to lead compliance for Commodities and Global Markets, focusing on equity and equity derivatives. You will manage regulatory coverage, review new products, and develop robust compliance plans and monitoring.

The role requires strong independent work skills with a pragmatic risk mindset and excellent stakeholder engagement to align business needs with regulatory expectations.

Qualifications

  • Regulatory changes management experience within equity and equity derivative markets.
  • Familiarity with equity and equity derivative markets and products
  • Knowledge of regulatory regulations including OTC reforms and cross-border obligations (e.g., Dodd-Frank)
  • Ability to work independently with a strong risk mindset
  • Strong engagement skills and experience influencing stakeholders

Responsibilities

  • Provide compliance and regulatory coverage on equity and related markets.
  • Deliver regulatory advisory coverage, review new products and transaction approvals.
  • Develop and maintain compliance plans, policies, procedures, and monitoring processes.
  • Assess business risks and control effectiveness; monitor, report, and escalate issues.
  • Participate in regulatory interactions, manage changes and inquiries, horizon scan trends.
  • Support regional and global compliance priorities and projects.

Skills

Regulatory compliance
Equity derivatives
OTC reforms
Cross-border regs (Dodd-Frank)
Risk mindset
Stakeholder engagement
Commercial mindset

Job description

Macquarie Bank Limited is seeking a Manager in Singapore to lead compliance for Commodities and Global Markets, focusing on equity and equity derivatives. You will manage regulatory coverage, review new products, and develop robust compliance plans and monitoring.

The role requires strong independent work skills with a pragmatic risk mindset and excellent stakeholder engagement to align business needs with regulatory expectations.

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