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Senior Vice President, Compliance Consulting, Singapore

KROLL SINGAPORE PTE. LTD.

Singapore

On-site

SGD 120,000 - 150,000

Full time

Today
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Job summary

A leading compliance consulting firm in Singapore seeks a Senior Vice President to manage client portfolios, prepare compliance policies, and ensure adherence to regulatory standards. The ideal candidate will have a minimum of 8 years of experience in financial services regulatory compliance, a degree in Accounting and Finance, and relevant professional qualifications. This role emphasizes leadership, client relationships, and innovative problem-solving in a dynamic regulatory environment.

Qualifications

  • Minimum 8 years of working experience.
  • Proven experience in a financial services regulatory compliance role.
  • Detailed understanding of MAS rules and regulations.

Responsibilities

  • Managing a portfolio of clients regulated by the MAS.
  • Preparing compliance and operational policies and procedures.
  • Updating clients on regulatory change.

Skills

Leadership skills
Client facing
Solutions-focused
Strong English oral and written communication
Time management
Problem-solving attitude

Education

University degree in Accounting and Finance
Relevant professional qualifications (e.g., CA, ACCA, CPA)
Job description

Kroll’s Compliance Consulting practice assists clients in setting up firms, obtaining their initial authorization or registration, and providing them with ongoing compliance advice to navigate the rapidly changing regulatory landscape. As a Senior Vice President, you will embody drive, embrace change and take risks. You will be innovative and solve problems in our Compliance Consulting business.

RESPONSIBILITIES
  • Managing a portfolio of clients regulated by the MAS, and other global financial services regulators
  • Managing a team of consultants, each with own client base
  • Preparing compliance and operational policies and procedures
  • Setting up the regulatory and governance infrastructure and assisting ongoing monitoring
  • Undertaking periodic monitoring reviews at client premises
  • Reporting on findings and providing recommendations for procedural improvements to meet regulatory and best practice requirements
  • Managing regulatory filing and reporting schedules
  • Providing ad hoc regulatory advice and creative solutions
  • Updating clients on regulatory change
  • Networking and relationship building with industry professionals and industry bodies
  • Business development with potential clients
REQUIREMENTS
  • Minimum 8 years of working experience
  • University degree in Accounting and Finance is preferred
  • Possessed relevant professional qualifications e.g., CA, ACCA, CPA
  • Proven experience in a financial services regulatory compliance role, for example within a regulator, a regulated firm or a consultancy
  • Detailed understanding of MAS rules and regulations
  • Preferable to have detailed understanding of any other financial services regulator’s rules and regulations
  • Good understanding of financial services and the alternative asset management industry
  • Ability to work on own initiative and as part of a team
  • Leadership skills, client facing, solutions-focused skills
  • Clear, logical thought processes, ability to make decisions and articulate these clearly
  • Strong English oral and written communication skills
  • Time management skills and ability to work within deadlines
  • Solution-driven and problem-solving attitude
  • Legal or accountancy background would be useful

In order to be considered for a position at Kroll, you must formally apply via careers.Kroll.jobs

Kroll is committed to equal opportunity and diversity, and recruits people based on merit.

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