JOB DESCRIPTION
Key duties include:
- Advising management on and ensuring compliance with applicable laws and regulations including MAS guidelines relating to AML/CFT, outsourcing and technology risk management; MAS Business Trust Act and SGX Listing Rules
- Managing periodic filings/notification to MAS or other relevant regulatory bodies
- Managing the Enterprise Risk Management (ERM) framework; and working closely with business heads in ensuring that the risk management processes are adhered to at the operational level
- Managing the implementation of risk and compliance programs
- Point of contact with regulators on risk and compliance matters
- Liaising with and managing auditors on risk and compliance related matters
- Supporting management in reporting to the boards and/or board committees on risk and compliance related matters
- To support Keppel Group- driven risk and/or compliance initiatives or projects
JOB REQUIREMENTS
- Degree in Finance/Banking/Accountancy
- At least 10 years of compliance/risk management/audit experience within REIT/business trust/fund management industry
- Good knowledge/understanding of laws and regulations including Securities and Futures Act, Financial Advisers Act, MAS Business Trust Act and SGX Listing Rules
- Good knowledge/understanding of Enterprise Risk Management principles and processes of REIT/business trust/fund management businesses
- A self-motivated team player who is meticulous, detailed oriented, organized and able to learn quickly, independently with strong analytical skills
- Able to think objectively, work independently and multi-task in a fast pace environment
- Excellent written and oral communication and presentation and interpersonal skills
- Strong stakeholder management skill and ability to interact well with different functions and levels