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Senior Compliance Officer, External Asset Management

Perennial HR

Singapore

On-site

SGD 90,000 - 130,000

Full time

21 days ago

Job summary

A leading firm in Capital Markets Services specializing in Fund Management seeks a Senior Compliance Officer. The role involves establishing compliance policies, overseeing regulatory filings, and ensuring alignment with MAS regulations. Candidates should have at least 8 years of compliance experience in finance and strong ethical standards.

Qualifications

  • Minimum 8 years of relevant compliance experience in the financial sector.
  • In-depth understanding of MAS regulations, particularly SFA, FAA, AML/CFT frameworks.
  • Strong interpersonal and analytical skills required.

Responsibilities

  • Lead the development and implementation of compliance policies and internal control frameworks.
  • Oversee all regulatory filings and maintain timely reporting to the Monetary Authority of Singapore.
  • Conduct routine compliance reviews and manage investigations into suspicious activities.

Skills

Regulatory compliance
AML/CFT
KYC
Analytical skills
Problem-solving skills

Education

Degree in Law, Finance, or related discipline

Job description

Senior Compliance Officer, External Asset Management
Job Description:

Our client is a Capital Markets Services (CMS) licensed firm specializing in Fund Management and External Asset Management (EAM) services for High-Net-Worth Individuals (HNWIs), Ultra-High-Net-Worth Individuals (UHNWIs), Accredited Investors, and Family Offices. With a strong entrepreneurial culture and a growing presence in Asia, the firm is committed to delivering bespoke wealth management solutions and upholding the highest standards of regulatory compliance.

Key Responsibilities & Requirements:

  • Lead the development, implementation, and ongoing refinement of the firms compliance policies, procedures, and internal control framework to ensure alignment with regulatory standards and internal risk appetite.
  • Oversee all regulatory filings, surveys, and renewals; maintain timely and accurate reporting to the Monetary Authority of Singapore (MAS) and other relevant bodies.
  • Provide expert guidance on regulatory compliance matters across the business, particularly in AML/CFT, KYC, client onboarding, and financial advisory practices.
  • Conduct routine compliance reviews, name screening, and investigations into suspicious activities, and manage the preparation and filing of Suspicious Transaction Reports (STRs).
  • Stay informed on evolving regulatory developments under the SFA, FAA, and other MAS guidelines; proactively implement necessary changes and keep management updated.
  • Coordinate internal and external audits, address findings, and drive corrective actions to strengthen compliance and operational risk management.
  • Deliver ongoing compliance training to internal stakeholders to foster a culture of compliance awareness and accountability.
  • Work closely with internal teams and external partners to ensure a robust and efficient compliance function across all touchpoints.

Ideal Candidate Profile:

  • Degree in Law, Finance, or related discipline; relevant compliance certifications preferred.
  • Minimum 8 years of relevant compliance experience in the financial sector, ideally within an EAM/ IWM setup.
  • In-depth understanding of MAS regulations, particularly SFA, FAA, AML/CFT frameworks.
  • Highly ethical, with strong interpersonal, analytical, and problem-solving skills.
  • Proven ability to work independently in a fast-paced, entrepreneurial environment.
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