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Regulatory & Compliance Analyst

ICE FUTURES SINGAPORE PTE. LTD.

Singapore

On-site

SGD 60,000 - 90,000

Full time

6 days ago
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Job summary

A leading financial institution in Singapore is seeking a Regulatory & Compliance Analyst. This role involves supervising compliance with regulatory obligations, interfacing with various internal and external departments, and conducting risk assessments. The ideal candidate will have a degree, knowledge of regulatory compliance, and strong analytical skills. Familiarity with data analytics is a plus.

Qualifications

  • Knowledge of regulatory compliance, experience in financial institutions or regulatory authorities is a plus.
  • Familiarity with data analytic tools is beneficial.
  • Demonstrated initiative and strong organization skills required.

Responsibilities

  • Supervise compliance with rules and procedures for the Exchange and Clearing House.
  • Interface between internal departments and regulatory authorities.
  • Monitor regulatory developments and advise on compliance.

Skills

Regulatory compliance
Data analytic tools
Analytical skills
Communication skills
Time-management skills
Teamwork orientation
Attention to detail

Education

Educated to degree level or equivalent

Job description

Job Purpose

The Regulatory & Compliance Analyst is a member of the Regulation & Compliance team in Singapore and:

  • Supervises members of ICE Futures Singapore (the “Exchange”) and ICE Clear Singapore (the “Clearing House”) for compliance with the rules and procedures of the Exchange and Clearing House; and
  • Helps to ensure that the Exchange and the Clearing House comply with their regulatory obligations in Singapore and external jurisdictions.

Responsibilities

  • Interfacing between the internal departments of the Exchange and Clearing House, relevant departments in ICE Group, the MAS and foreign regulatory authorities.
  • Working with colleagues within the ICE group to design, develop and implement enhancements to policies, systems and processes.
  • Ensuring timely submission of regulatory notifications, reports and applications to the MAS and foreign regulatory authorities.
  • Monitoring regulatory developments, providing regulatory advice on meeting new compliance requirements.
  • Ongoing monitoring of business relations and transactions with customers and conducting risk assessments for AML/CFT purposes.
  • Actively supervising Members, including reviewing Members’ submissions and conducting inspections.
  • Conducting review and due diligence of membership applications to ensure satisfaction of admission criteria.
  • Assisting in conducting investigations and enforcement actions against rule violations by compiling records and drafting investigative reports for disciplinary committees.

Knowledge and Experience

  • Educated to degree level or equivalent
  • Knowledge of regulatory compliance, with prior experience in a financial institution or regulatory authority a plus. Candidates from consulting/audit/legal backgrounds with exposure to financial institutions are encouraged to apply.
  • Familiarity with data analytic tools
  • Demonstrated initiative, organization skills and teamwork orientation
  • Excellent analytical, communication and time-management skills
  • Strong attention to detail
  • Comfortable working in an evolving, highly regulated environment
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