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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.
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.
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)
Job description
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.