Senior Compliance Specialist

Liberty Specialty Markets Singapore Pte Limited

Singapore

On-site

SGD 120,000 - 180,000

Full time

14 days+
Application generator

Don’t send a generic resume — generate a resume and cover letter tailored to this exact role.

Get past ATS filters

Job summary

Liberty Specialty Markets Singapore Pte Limited in Singapore seeks to strengthen its compliance program, working closely with senior management, legal counsel and business stakeholders. You will assess and address regulatory risks, develop strategies to ensure regulatory compliance, and promote an ethics-driven culture across the organization. The role involves reporting to GC&E and collaborating with Legal and Internal Audit.

Qualifications

  • Minimum 6–8 years in compliance within Big 4 or financial institutions.
  • Familiar with MAS and PDPC regulations.
  • Strong interpersonal skills to interface at all levels.
  • Excellent analytical, problem solving and project management skills.
  • Experience in diverse international regulatory environment.
  • Ability to manage cross-country projects.
  • Proficient in English (written and spoken).
  • Proficient with Microsoft Office.

Responsibilities

  • Implement an effective compliance program with applicable laws and internal policies.
  • Monitor regulatory changes and update stakeholders.
  • Develop sanctions screening and AML controls.
  • Collaborate with GC&E to embed ethics and compliance.
  • Deliver compliance awareness trainings.
  • Provide regular reports to GC&E and senior management.
  • Coordinate investigations of violations and communicate findings.

Skills

MAS regulations
PDPC rules
Regulatory risk
Stakeholder management
Analytical thinking
Project management
English fluency
Cross-functional collaboration
Audit coordination
Compliance training

Tools

MS Office suite

Job description

General information

Country: Singapore

Creation Date: 19-Aug-2026

Employment Type: Permanent

Employment Type: Full time

Ref #: 1234573337

Description & Requirements

The role will be responsible for all facets of the Company's compliance program. You will work closely with the Company's senior management, legal counsel and business stakeholders in managing regulatory interaction and compliance risks. You will proactively assess and identify existing and emerging compliance risks, provide sound compliance advice, and develop strategies and guidance to ensure compliance with regulations and global policies. You will carry out actions that have an impact upon the rights, privileges and responsibilities of the Company while maintaining high standards of compliance, business ethics and professional responsibility.

Responsibilities:
  • Implement an effective compliance program to ensure the company complies with applicable laws, regulations and policies, including (but not limited to) the Insurance Act, MAS Regulations & Notices, and internal corporate policies.
  • Stay abreast of regulatory requirements, changes and developments, and provide timely update on regulatory development to the business stakeholders and senior management.
  • Responsible for the development and operating effectiveness of sanction screening and AML controls.
  • Work with Liberty's corporate compliance team, Global Compliance & Ethics (GC&E), to maintain a culture of compliance, responsibility and doing things right, and proactively facilitate GC&E's initiatives to embed ethics and compliance in the Company.
  • Promote Compliance awareness and culture through establishing engagement events and trainings for employees and insurance agents of the Company.
  • Provide regular reports to GC&E, board of directors and senior management on, amongst other items, emerging risks, regulatory changes, misconduct allegations, investigations or discipline related to compliance misconduct.
  • Collaborate with Legal and Internal Audit in the investigation of complaints and allegations of violations of the Company's rules, including managing the communication of findings, conclusions, and recommendations to the management.
  • Manage regulatory queries, regulatory inspection and audits relating to compliance. Ensure timely management responses are provided, and improvements are implemented within agreed timelines.
  • Escalate matters to GC&E in accordance with written escalation policies and request support from GC&E on any compliance matter as needed.
  • Perform compliance risk assessment of the Company, including identification of emerging risks and issues, and ensure the timely completion of compliance monitoring and testing plans.
  • Monitor the implementation of compliance policies and procedures by the business units and functions, and perform periodic compliance monitoring and testing by reviewing business practices against regulatory and policy requirements, report results to management and oversee the implementation of corrective actions.
  • Provide sound and effective advice and guidance on the Company's compliance standards, policies, Code of Business Ethics and Conduct and internal policies.
  • Develop Compliance processes and ensure the implementation of appropriate controls to manage risks within the Company's risk appetite.
  • Manage the planning and execution of compliance plan and policies.
  • Actively participate in cross functional, cross country, regional or global projects where required.
  • Take a leading role in facilitating the training and development of less experienced team members. May design and teach formal trainings on audit methodology, SBU products and systems.

Experience & Knowledge:
  • Minimum 6-8 years of relevant experience in Big 4 or financial institutions
  • Familiar with relevant rules, regulations and expectations of the MAS and PDPC
  • Strong interpersonal skills and the ability to interface with all levels within the company
  • Excellent analytic, problem solving and project management skills
  • Able to identify and analyze organizational needs with solid problem-solving abilities
  • Able to analyze complex issues and propose pragmatic solutions with business acumen
  • Has experience working in a diverse, international, fast-moving and mature regulatory environment
  • Able to effectively manage cross-functional and cross-country projects and working relationships
  • Able to communicate effectively in English, both written & oral
  • Advanced proficiency in Microsoft Office applications, including Word, Excel and PowerPoint
Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Senior Compliance Specialist
Senior Compliance Specialist

Liberty Specialty Markets • Singapore

On-site
SGD 120,000 - 180,000
Analyst, Compliance Officer, Compliance
Analyst, Compliance Officer, Compliance

CLSA • Singapore

On-site
SGD 90,000 - 150,000
Compliance Consultant
Compliance Consultant

Curiaregis • Singapore

On-site
SGD 60,000 - 100,000
Compliance Program Coordinator
Compliance Program Coordinator

Greenberg Traurig • Singapore

On-site
SGD 70,000 - 110,000
Compliance Manager
Compliance Manager

STANLEY PARK & ASSOCIATES PTE. LTD. • Singapore

On-site
SGD 90,000 - 150,000
Compliance, AVP
Compliance, AVP

Maybank Investment Banking Group • Singapore

On-site
SGD 120,000 - 240,000
Compliance Officer
Compliance Officer

Danos Group • Singapore

On-site
SGD 90,000 - 150,000
Chief Compliance Officer
Chief Compliance Officer

Alibaba.com • Singapore

On-site
SGD 150,000 - 190,000
Compliance, AVP (Contract)
Compliance, AVP (Contract)

Maybank Investment Banking Group • Singapore

On-site
SGD 120,000 - 180,000
Senior Regulatory Compliance Officer Compliance Monitoring & Regulatory Reporting
Senior Regulatory Compliance Officer Compliance Monitoring & Regulatory Reporting

greenlane private ltd. • Singapore

On-site
SGD 80,000 - 120,000