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Director, Group AML Compliance

Phillip Securities Pte Ltd

Singapore

On-site

SGD 150,000 - 250,000

Full time

Yesterday
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Job summary

Phillip Securities Pte Ltd is seeking an experienced Director to lead its Group Anti-Money Laundering Compliance efforts. This strategic leadership position involves ensuring adherence to AML/CFT regulations, developing compliance programs, and managing a team to foster a culture of integrity and compliance within the organization. The ideal candidate will have extensive experience, proven leadership skills, and the ability to interact effectively with regulators.

Qualifications

  • 15+ years of AML/CFT experience in a regulated financial institution.
  • Strong knowledge of global AML/CFT regulations and best practices.
  • CAMS, ICA, or equivalent AML certification required.

Responsibilities

  • Develop and implement the AML/CFT compliance program.
  • Lead enterprise-wide AML risk assessments.
  • Act as the primary point of contact for AML-related regulatory inquiries.

Skills

Leadership
Communication
Analytical Skills
Stakeholder Management
Regulatory Knowledge

Education

Bachelor’s degree in Law, Finance, Business, or related field

Job description

Job Summary:

We are seeking an experienced and strategic Director, Group Anti-Money Laundering Compliance to lead and manage the organization’s AML/CFT efforts. This leadership role is responsible for ensuring the business complies with all applicable AML/CFT laws, regulations, and internal policies. The ideal candidate will serve as the subject matter expert (SME) and provide leadership on all AML-related matters, including but not limited to customer due diligence (CDD), transaction monitoring, sanctions screening, and regulatory reporting.

Key Responsibilities:

Strategic Leadership & Oversight

  • Develop, implement, and continuously improve the AML/CFT compliance program.

  • Define and execute the AML/CFT strategy in alignment with business goals and regulatory expectations.

  • Lead enterprise-wide AML risk assessments and ensure ongoing evaluation of emerging risks.

  • Report regularly to executive management and the board on AML matters, key metrics, and emerging risks.

Policy & Program Management

  • Maintain and update AML/CFT policies, procedures, and controls in accordance with local & global regulations (e.g., MAS, FATF).

  • Oversee higher risk escalated customer onboarding, KYC, and enhanced due diligence processes.

  • Ensure effective transaction monitoring and suspicious transactions/activity reporting (STR) process are in place.

Team Management & Development

  • Lead, mentor, and manage the Group AML Compliance team including close collaboration and guidance to teams performing AML related functions residing with other departments and across various group entities.

  • Foster a culture of compliance and ethical conduct throughout the organization.

  • Provide training and awareness programs to staff on AML/CFT requirements and red flags.

Regulatory Engagement & Audit

  • Act as the primary point of contact for AML-related examinations, audits, and inquiries from regulatory authorities and financial partners.

  • As Group MLRO, supervise the preparation and submission of all AML/CFT related regulatory filings, including STRs, in a timely and accurate manner.

  • Lead remediation efforts following regulatory findings, external or internal audit observations.

Technology & Data

  • Collaborate with technology teams to ensure AML systems (e.g., transaction monitoring, screening, case management) are effective and appropriately calibrated.

  • Analyze AML data and trends to optimize compliance effectiveness and operational efficiency.

Qualifications:

Required

  • Bachelor’s degree in Law, Finance, Business, or related field.

  • 15+ years of AML/CFT experience in a regulated financial institution.

  • Strong knowledge of global AML/CFT regulations and best practices.

  • Proven leadership and people management experience.

  • Experience interacting with regulators and auditors.

  • CAMS, ICA, or equivalent AML certification.

Preferred

  • Experience working in a multinational environment.

  • Familiarity with wealth management, private banking, digital banking, virtual assets, or cryptocurrency AML regimes.

Key Competencies:

  • Deep understanding of AML risk and regulatory frameworks.

  • Strategic thinking with strong analytical and decision-making skills.

  • Excellent communication and stakeholder management abilities.

  • Integrity, accountability, and high ethical standards.

  • Strong project management and organizational skills.

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