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Investigator

Finexis Advisory

Singapore

Hybrid

SGD 45,000 - 60,000

Full time

8 days ago

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Job summary

Finexis Advisory, un cabinet de conseil financier reconnu à Singapour, recherche un enquêteur en conformité pour rejoindre son équipe dynamique. Vous serez responsable de mener des enquêtes, d’effectuer des audits et de former l’agence sur la réglementation en vigueur. Cette opportunité vous permettra de travailler avec divers partenaires, d'améliorer la conformité interne et de contribuer à un environnement collaboratif.

Benefits

Rémunération compétitive
Avantages flexibles
Semaine de travail hybride
Environnement de travail collaboratif
Opportunité de travail avec diverses équipes

Qualifications

  • Min 3 ans d'expérience en enquêtes dans des entreprises de FA ou institutions financières.
  • Compréhension des réglementations pertinentes, y compris les directives FAA et LIA.
  • Capacité à travailler sous pression dans un environnement rapide.

Responsibilities

  • Mener des enquêtes de bout en bout, y compris les interviews et la rédaction de rapports.
  • Effectuer des audits réguliers et identifier les zones de risque.
  • Assister au développement et à la mise en œuvre de politiques en réponse aux risques identifiés.

Skills

Critical thinking
Report writing
Strong communication
Time management
Multitasking

Education

Degree in relevant field

Job description

ARE YOU SEEKING FOR GROWTH YET YOU WANT A FULFILLING CAREER?

Be ready to embark on a journey which offers you an exciting opportunity.

HERE’S A SHORT INTRO OF WHO WE ARE

Since our incorporation in 2005, finexis has grown to become a leading homegrown financial advisory firm in Singapore licensed by the Monetary Authority of Singapore, with assets under advisory of almost S$1 billion. Our strategic partnerships, extensive portfolio of leading financial solutions, strength of more than 900 financial consultants and support staff have enabled us to become a market leader in the field of specialised financial services.

WHAT TO EXPECT

The Market Conduct team is part of the Compliance department, and is primarily responsible to manage any risks relating to market misconduct by the agency. You will be part of a dynamic and driven team, and have the opportunity to work with various stakeholders, including but not limited to our partners, clients and regulators. You will report directly to the Deputy Head of Compliance.

If this is what you are looking for, look no further and be ready to take this leap of faith by giving your 120%! This is just the beginning as we are excited to work with you to shape this into something extraordinary!

WHAT YOU’LL DO

  • Independently conduct investigations from beginning to end, including interviews and writing investigation reports

  • Perform regular and ad-hoc audits to identify any key risk areas, such as training & competency and manipulation checks

  • Assists in developing, enhancing and implementing policies, procedures and control assessments in response to identified risks

  • Conduct trainings on a regular basis to enhance competency of the agency

  • Ensure our agency is in compliance with all relevant laws and regulations (e.g. notices and circulars) issued by the Authorities or the Company

WHO YOU ARE

  • Degree with at least 3 years of experience performing investigations in FA firms, insurance companies or related financial institutions

  • Ability to multitask, work under pressure and remain agile in a fast-paced environment

  • Resourceful and a strong team player

  • Good report writing ability

  • Strong communication skills

  • Understanding of the relevant regulations, including the FAA and LIA guidelines

  • Critical thinking

  • Time management and prioritisation

  • Responsible and takes personal ownership

  • Positive mindset

WHAT’S IN IT FOR YOU

  • Competitive remuneration

  • Flexi-Benefits

  • Hybrid work week

  • A workplace environment that fosters collaboration and interactions with others

  • Opportunity to work with various teams

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