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Jobs in Singapore   »   Jobs in Singapore   »   F&B / Tourism / Hospitality Job   »   Senior Executive, Risk Management & Compliance
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Senior Executive, Risk Management & Compliance

Infinitum Financial Advisory Pte. Ltd.

Infinitum Financial Advisory Pte. Ltd. company logo

A self-directed team player in the Risk Management & Compliance department focusing on Compliance and Market Conduct areas in order to maintain a robust risk management and compliance framework within Infinitum Financial Advisory.


Infinitum Financial Advisory is a wholly-owned subsidiary of Income Insurance Limited, Singapore’s top composite insurer, and is licensed and regulated by the Monetary Authority of Singapore (MAS).


Responsibilities:

  • Conduct Customer Due Diligence (“CDD”) and/or Enhanced CDD assessments escalated from other departments and/or from on-going screening; and conduct transactions monitoring reviews on Anti Money Laundering (“AML”) and Countering the Financing of Terrorism (“CFT”), focusing on retail clients.
  • Ensure that review and investigation conclusions are adequately and properly documented, and escalated to Management (if required).
  • Provide AML/CFT and business advisory to the various departments and be a subject matter expert on the interpretation of policies, procedures and regulations in relation to AML/CFT.
  • Maintain, update and enhance the Company’s AML/CFT policy, Enterprise-Wide Risk Assessment and procedural manual(s) as required, including the transaction monitoring plan to commensurate with the Company’s business nature, size and level of complexity.
  • Conduct compliance training to relevant staff including Representatives (where required).
  • Identify compliance issues that require follow up and discuss emerging compliance issues with relevant departments.
  • Assist the Head/Manager in investigations and deep-dive reviews when required.
  • Assist in the completion of regulatory-driven and providers' Due Diligence questionnaires.
  • Assist the Head in the periodic review and update of Enterprise-Wide Risk Assessment.
  • Assists in the preparation and presentation of selected updates and/or reports to the Management.
  • Assist in System UAT testing and to provide feedback on enhancements (where required).
  • Stay updated with new relevant regulations and developments impacting the FA industry, including AML/CFT and sanctions laws.
  • Undertake any tasks as assigned from time to time.

Requirements:

  • At least a Bachelor's degree or above
  • At least 3 years Compliance-related experience in financial services/insurance-related industry focused in AML/CFT areas
  • Sound technical AML/CFT knowledge and skills, with hands-on experience
  • Strong attention to detail
  • Certified as an AML specialist with a recognised institution/association (e.g. ACAMS or ICA) will be a plus, but is not mandatory for the role
  • Having prior financial advisory experience will be an added advantage
  • Must be proficient in MS Office, Excel applications

Other competencies and traits:

  • Uses initiatives to add value and increase efficiency
  • Possess good communication (verbal and written) skills with a strong EQ
  • An eye for details, has a strong analytical mind with good problem-solving skills
  • Has a self-motivated personality and is able to work well in a team
  • Adaptable to changes
  • Self disciplined and motivated in a flexible hybrid work environment
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