Compliance Officer (Private Banking)

MICHAEL PAGE INTERNATIONAL PTE LTD

Singapore

On-site

SGD 90,000 - 130,000

Full time

9 days ago
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Job summary

MICHAEL PAGE INTERNATIONAL PTE LTD in Singapore is recruiting a Senior Compliance professional to support private banking growth. You will develop policies, advise on product and onboarding compliance, and review complex client onboarding and risk assessments within a regulated framework.

The role offers broad exposure to policy development, product governance, and cross-functional collaboration with business and technology teams to strengthen controls in Private Banking.

Qualifications

  • Experience in Private Banking or Wealth Management compliance.
  • Strong advisory experience with policy development and client onboarding.
  • Good understanding of Singapore's regulatory framework for Private Banking.

Responsibilities

  • Develop and enhance compliance policies, procedures and client onboarding frameworks for Private Banking.
  • Provide compliance advisory across investment and Private Banking products and services.
  • Review complex client onboarding and ongoing compliance matters, including SOW/SOF and customer risk assessments.
  • Draft and review internal procedures, client documentation and compliance guidelines.
  • Collaborate with business and technology teams on system enhancements and compliance controls.

Skills

Compliance advisory
Policy development
Client onboarding
Product compliance
Regulatory knowledge

Job description

Shape Compliance for a Growing Private Banking Business in Singapore

Broaden Your Private Banking Compliance Exposure Across Products & Advisory

About Our Client

Our client is a well-established international bank with a strong footprint across Asia and a growing presence in Singapore. As the bank continues to expand its Private Banking capabilities, it is looking to strengthen its local compliance team with a professional who can play a key role in supporting the development of the business and its regulatory framework.

Job Description
  • Develop and enhance compliance policies, procedures and client onboarding frameworks for the Private Banking business.
  • Provide compliance advisory across investment and Private Banking products and services.
  • Review complex client onboarding and ongoing compliance matters, including SOW/SOF and customer risk assessments.
  • Draft and review internal procedures, client documentation and compliance guidelines.
  • Work with business and technology teams on system enhancements and compliance control requirements.
The Successful Applicant
  • Minimum 3 years of relevant compliance experience within Private Banking or Wealth Management in Singapore .
  • Strong compliance advisory experience, including policy development, client onboarding and product-related compliance matters.
  • Good understanding of regulatory requirements and Singapore's regulatory framework for Private Banking activities.
  • Experience supporting a broad range of Private Banking or investment products.
What's on Offer

You will have the opportunity to join an established international bank and support the growth of its Private Banking business in Singapore. The role offers broad exposure across compliance advisory, product governance, policy development and client onboarding, with close interaction with business, technology and regional stakeholders

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