Embark on a transformative journey with a distinguished financial institution as a Compliance Manager in Singapore and leave a lasting mark on the industry!
We are actively seeking a highly qualified Compliance professional with a minimum of 8 years of extensive experience in Compliance (excluding AML), Financial Services Regulatory Compliance, or working with regulators, and deep knowledge of the Securities & Futures Act and SGX-ST rules.
In this pivotal role, you will serve as a senior team member responsible for overseeing the three pillars of Compliance: Surveillance & Monitoring, Regulatory Advisory, and Central Compliance. Your responsibilities extend to Singapore and various business lines including Institutional Equities, FICC, and Investment Banking.
If this unique opportunity resonates with your aspirations, we invite you to connect with Helen at helen@qontelsearch.com for a confidential discussion.
License No. EA22S0952