Key Responsibilities
  • Provide subject matter compliance advisory across global businesses on cross-border and region-specific requirements and restrictions.
  • Conduct AML due diligence and respond to AML/KYC inquiries from third parties.
  • Respond to regulatory inquiries, such as surveys
  • Compliance data analysis
  • Perform regulatory reviews and reporting
  • Undertake the investigation and assessment of transaction monitoring alerts.
  • Collaborate with relevant departments to evaluate and address potential issues identified through transaction monitoring. Ensure that all reviews and investigation conclusions are adequately documented.
  • Update compliance policies and procedures. Ensure that policies and procedures are aligned with changes in local laws and regulations.
  • Facilitate effective internal collaboration. Serve as a liaison between compliance and other departments to foster a coordinated approach to compliance. Work collaboratively with legal, risk management, and other teams to address compliance-related concerns and implement corrective actions.
  • Participate in ad hoc projects and tasks as assigned, ensuring the effective completion of all responsibilities.

Required Skills and Qualifications
  • The candidate must have at least 5 years of experience
  • Experience in interacting with regulators (esp. MAS)
  • An inquisitive and analytical mind with the ability to proactively identify and analyse problems, and propose viable solutions
  • The ability to work to deadlines whilst maintaining a high degree of accuracy and quality; handle multiple tasks and prioritise effectively
  • A keen attention to detail as well as an ability to view the bigger picture
  • Good understanding of guidelines, reputation and regulatory risks
  • Excellent communication skills to liaise with all stakeholders
  • Excellent Excel skills