Compliance Officer (PERE)

TRI-CAP CONSULTING PTE. LTD.

Singapore

On-site

SGD 100,000 - 150,000

Full time

14 days+
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Job summary

TRI-CAP CONSULTING PTE. LTD. in Singapore is seeking an experienced Compliance Officer to lead the firm's global compliance and risk management framework. The successful candidate will report to the CEO and play a critical role in regulatory compliance, investor protection, and operational integrity.

With a Bachelor's degree and minimum 10 years' experience in compliance and governance, the role requires strong stakeholder management skills and the ability to influence senior leadership.

Qualifications

  • Minimum 10 years of relevant compliance, regulatory, legal, risk management, or governance experience.
  • Prior experience in Private Equity Real Estate (PERE), Real Estate Funds, Private Equity, Alternative Investments.
  • Ability to influence senior leadership and investment professionals.

Responsibilities

  • Lead and oversee the firm's global compliance, regulatory, governance, and risk management framework.
  • Serve as a trusted advisor to senior management.
  • Support fundraising, fund management, investment activities, and sustainability initiatives.

Skills

Capital Markets regulations
AML/KYC requirements
Fund governance frameworks
Real estate investment structures
ESG and sustainability regulations
Valuation governance and reporting standards

Education

Bachelor's Degree in Law, Finance, Accounting, Business, Real Estate

Job description

Our client is a leading Private Equity Real Estate (PERE) investment platform seeking an experienced Compliance Officer to lead and oversee the firm's global compliance, regulatory, governance, and risk management framework.

Reporting directly to the Chief Executive Officer (CEO) and Legal Partner of the Sponsor Team, this individual will serve as a trusted advisor to senior management, ensuring that the organization maintains the highest standards of regulatory compliance, investor protection, fund governance, and operational integrity across multiple jurisdictions. This Compliance Officer will play a critical role in supporting fundraising, fund management, investment activities, portfolio oversight, and sustainability initiatives while navigating an increasingly complex regulatory environment.

This is a unique opportunity that plays a strategic senior role within a growing institutional real estate investment platform. The successful candidate will have direct exposure to executive leadership, global investment activities, sophisticated fund structures, institutional investors, and evolving ESG and regulatory initiatives while helping shape the firm's governance and compliance framework for future growth.

Qualifications
  • Deep understanding of: Capital Markets regulations, AML/KYC requirements, Fund governance frameworks, Institutional investor reporting requirements, Real estate investment structures, ESG and sustainability regulations, Valuation governance and reporting standards
Required Experience & Skills
  • Bachelor's Degree in Law, Finance, Accounting, Business, Real Estate, or a related discipline
  • Minimum 10 years of relevant compliance, regulatory, legal, risk management, or governance experience.
  • Prior experience within: Private Equity Real Estate (PERE), Real Estate Funds, Private Equity, Alternative Investments, Asset Management, Institutional Investment Platforms
  • Demonstrated experience interacting with regulators, institutional investors, auditors, and governing boards.
  • Strong understanding of fund structures, investment vehicles, fundraising activities, and cross-border regulatory frameworks.
  • Strong executive presence and stakeholder management skills.
  • Ability to influence senior leadership and investment professionals.
  • Excellent judgment, integrity, and ethical standards.
  • Strategic thinker with a commercial mindset and strong risk awareness.
  • Ability to operate independently in a dynamic, entrepreneurial environment.
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