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Compliance Manager/Officer - Regulatory Advisory and Affairs

Maybank

Singapore

On-site

SGD 60,000 - 80,000

Full time

17 days ago

Job summary

Maybank Singapore Limited is seeking a Regulatory Compliance Advisor to manage compliance advisory efforts and uphold regulatory frameworks. The ideal candidate will possess a degree in Law or Business, with a minimum of 3-5 years of relevant experience in regulatory affairs. Responsibilities include liaising with regulators, managing compliance risks, and supporting governance reporting. Strong analytical, interpersonal, and communication skills are essential for success in this role.

Qualifications

  • Minimum 3-5 years in Regulatory Compliance and Affairs.
  • Knowledge of Banking Act, FAA, SFA, PDPA.
  • Ability to multi-task effectively.

Responsibilities

  • Provide ongoing regulatory compliance advisory.
  • Manage regulatory consultations and inspections.
  • Develop and maintain compliance frameworks.

Skills

Interpersonal skills
Communication skills
Analytical skills
Problem-solving skills
Organizational understanding

Education

Degree in Law or Business

Job description

Job Responsibilities:

  • Provide ongoing regulatory compliance advisory and support to all business units and support functions.
  • Manage new and revised regulations, consultation papers, surveys issued by MAS, PDPC and other relevant regulatory authorities.
  • Proactively manage and assess regulatory concerns, understand regulators’ expectations and be an effective and trusted liaison for Maybank Singapore Limited with regulators.
  • Build and maintain a relationship of trust and transparency with the regulators, coordinating responses to regulatory queries and regulatory breaches.
  • Validate customer complaints in relation to investment and insurance sales to ensure that it is in line with the sales advisory process and Fair Dealing Guidelines.
  • Develop and maintain compliance framework, register and policies to ensure compliance with regulatory requirements.
  • Assess the adequacy and effectiveness of internal controls, procedures and guidelines to ensure all significant Compliance risks are identified and managed appropriately.
  • Drive and/or participate in projects providing advice and implementing internal policies or regulatory requirements.
  • Provide support in preparing reports for governance and management meetings.
  • Coordinate regulatory inspections, annual reviews, internal and external audits within compliance, including commenting on and closing out audit findings and/or recommendations.
  • Any other work assigned by the Bank.

Job Requirements

  • Degree holder, preferably in Law or Business.
  • Minimum of 3-5 years of relevant Regulatory Compliance and Affairs experience.
  • Good working knowledge of Banking Act, FAA, SFA, PDPA and other local regulations applicable to full banks.
  • Good interpersonal and communication skills.
  • Organizational understanding and a strong team player.
  • Strong analytical and problem-solving skills, together with good policy writing ability.
  • Ability to multi-task effectively.

*Only shortlisted candidate will be notified.

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