Job Description
1. Handle the daily/periodic/adhoc control functions and reporting requirements related to compliance function not limited to AML/CFT, data protection, complaint and training matters.
2. Review client instruction to update non-financial related information or to request for additional services.
3. Assess/verify the on-boarding and on-going annual review of counterparties/service providers submitted by PB Product team to ensure that due diligence and risk assessment are performed in accordance to the framework.
4. Facilitate the review of 3rd party's contract/agreement with the bank's Legal department.
5. Facilitate internal training and external training arrangement with the bank's Human Resources Department.
6. Perform the on-boarding due diligence and on-going KYC review of PB clients in accordance to the framework.
7 Attend to requests or queries from PB front office, Legal and Compliance Department, Internal Auditors and External Auditors on business compliance related matters.
8.Maintain up to date PB procedures, forms and templates related to business compliance functions.
Job Requirements
1. 3-5 years relevant experience in AML/KYC compliance functions in Private banking or wealth management industry;
2. Familiar with local and international regulations related to compliance functions (e.g. MAS Notice 626, CRS, PDPA, PB Code of Conduct and MAS Guidelines on PB Controls)
3. Experience in review of counterparties and have knowledge of PB Investment Suitability framework is good to have.