Compliance Manager / Compliance Officer

Arrowpoint

Singapore

On-site

SGD 170,000 - 260,000

Full time

14 days+
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Job summary

A multi-strategy hedge fund firm in Singapore is looking for a Compliance Manager / Compliance Officer. This role involves overseeing regulatory compliance and trade surveillance across multiple jurisdictions, aiming to ensure adherence to global standards. The ideal candidate has 7-10+ years of relevant experience, a strong understanding of regulatory frameworks, and the ability to work confidently with stakeholders.

Qualifications

  • 7–10+ years of relevant compliance experience at a hedge fund, asset manager, or regulatory agency.
  • Proven experience in trade compliance and regulatory compliance.
  • Strong understanding of MAS, SFC, SEC, CFTC, NFA, FCA.
  • International experience or exposure to cross-border regulatory issues is highly desirable.
  • Law degree preferred; professional certifications are a plus.
  • Strong communication with senior stakeholders; proactive and ethical.

Responsibilities

  • Implement and maintain global compliance policies and procedures.
  • Monitor and interpret regulatory developments.
  • Oversee trade surveillance and post-trade monitoring.
  • Conduct compliance reviews and monitoring.
  • Provide compliance training to front office and operations staff.
  • Collaborate with investment/trading teams for real-time compliance support.
  • Assist regulatory filings and reporting across jurisdictions.
  • Participate in new product/market initiatives for compliance implications.
  • Contribute to strategic initiatives to shape the compliance function.

Skills

Compliance experience
Trade compliance expertise
Strong communication skills
Detail-oriented
Proactive

Education

Law degree (JD or equivalent)
Relevant certifications (e.g., CFA, Series 7/24, ICA)
Series 7/24
ICA

Job description

Arrowpoint is an Asia-focused multi-strategy hedge fund firm headquartered in Singapore, founded by former Millennium Management Asia co-CEO Jonathan Xiong. The fund launched in July 2024 with $1 billion—making it one of the largest hedge fund launches in Asia’s history. Backed by prominent investors including Blackstone, the Canada Pension Plan Investment Board, and Temasek Holdings, we operate with portfolio managers across Singapore and Hong Kong, integrating diverse strategies such as Equities, Fixed Income, and Commodities. As we continue to grow, we are seeking driven individuals to join our team and contribute to our mission.

Job Title: Compliance Manager / Compliance Officer
Location: Singapore or Hong Kong
Firm: Arrowpoint Investment Partners
Type: Full-Time
Experience Level: Mid- to Senior

About the role

We are a dynamic and fast-growing multi-strategy hedge fund with global operations, currently expanding our compliance function. With a lean and collaborative team structure, we offer significant opportunities for personal and professional growth. We are seeking a highly motivated and experienced Compliance Manager / Compliance Officer to play a key role in ensuring the firm’s adherence to global regulatory standards and trade compliance obligations.

Reporting to the Chief Compliance Officer, you will be responsible for overseeing key aspects of our regulatory and trade compliance programs across multiple jurisdictions. You will work closely with investment professionals, operations, professional advisers, and regulators to maintain a robust compliance framework that supports the firm’s growth while managing risk effectively.

This is a hands‑on role for someone who thrives in a fast‑paced, entrepreneurial environment and is eager to grow with the business.

Key Responsibilities
  • Implement and maintain the firm’s global compliance policies and procedures.
  • Monitor and interpret regulatory developments across key jurisdictions (e.g., Singapore, Hong Kong, US, EU, etc).
  • Oversee trade surveillance and post‑trade monitoring to ensure compliance with regulatory and internal policies.
  • Conduct compliance reviews, testing, and monitoring to assess the effectiveness of controls.
  • Provide compliance training to front office and operational staff.
  • Collaborate with investment and trading teams to provide real‑time trade compliance support.
  • Assist in regulatory filings and reporting across the relevant jurisdictions.
  • Participate in new product and market initiatives to assess compliance implications.
  • Contribute to strategic initiatives, helping to shape the future of the compliance function.
Qualifications
  • 7–10+ years of relevant compliance experience at a hedge fund, asset manager, or regulatory agency.
  • Proven experience in trade compliance and regulatory compliance.
  • Strong understanding of MAS, SFC, SEC, CFTC, NFA, FCA, and other international regulatory regimes.
  • International experience or exposure to cross‑border regulatory issues is highly desirable.
  • Law degree (JD or equivalent) preferred; other relevant certifications (e.g., CFA, Series 7/24, ICA) a plus.
  • Strong communication skills and the ability to interact confidently with senior stakeholders.
  • Proactive, detail‑oriented, and comfortable taking ownership in a fast‑moving environment.
  • High level of integrity, sound judgment, and strong work ethic.

This website contains important legal and proprietary information concerning Arrowpoint Investment Partners (Singapore) Pte. Ltd. and its affiliates (“Arrowpoint”). The content of this website is intended for information purposes only and is not intended as advertising or promotional material in any respect. The information contained in this website is not and should not be regarded as an offer or solicitation of business, nor should it be construed as an offer, solicitation, invitation, or recommendation to buy or sell any securities, funds, or other investment products. Nothing in this website constitutes an offer or promise of employment with Arrowpoint with respect to any role described herein. Arrowpoint reserves the right, without notice, to remove, change or modify the terms of any role described herein. Any offer of employment with Arrowpoint shall be solely in accordance with the specific terms of such offer of employment. While Arrowpoint takes reasonable care to ensure that the information on this website is accurate and up to date, Arrowpoint assumes no obligation to update such information on a timely basis. Arrowpoint Investment Partners (Singapore) Pte. Ltd. is licensed by the Monetary Authority of Singapore to conduct the regulated activity of fund management. Arrowpoint Investment Partners (Hong Kong) Limited is licensed by the Securities and Futures Commission of Hong Kong to carry on the regulated activity of asset management.

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