We’re seeking a future team member for the role of Vice President, Compliance & Control, to join our Enterprise Risk Assurance team. This role is located in Singapore – Hybrid.
In this role, you’ll make an impact in the following ways:
- With minimal guidance, lead and perform financial crime compliance thematic reviews efficiently, effectively and timely related to BNY’s businesses and operational processes to ensure adherence to applicable laws, rules, and regulations as well as corporate and business policies and procedures in accordance with the Global Compliance Testing Manual methodology for the APAC region.
- Analyzing control processes to ensure they are aligned and in compliance with all applicable laws, rules, regulations and internal corporate and business policies and procedures
- Understanding key regulations in scope to design applicable tests to be performed to assess adherence of the business to business, corporate and regulatory requirements
- Participate in the coordination and attendance of engagement planning meetings and walkthroughs
- Conducting and documenting high quality planning/fieldwork meeting walkthroughs and testing in accordance with Compliance Testing guidelines
- Communicating effectively, in both verbal and written mediums, observations and findings identified and facilitating the development and agreement of corrective action plans to the business, tracking actions proactively to conclusion
- Perform validation of business remediated findings by ensuring agreed upon action plans in the Compliance Testing Report are completed in full and properly supported
- Ensuring that all steps of Compliance Testing reviews are accurately recorded on BNY’s Compliance Testing system
- Representing Compliance Testing at internal meetings where required
- Training and supporting other team members on the application of the Global Compliance Testing Manual methodology and systems e.g., BNY’s Compliance Testing system
- Providing input to team, department and ad-hoc projects and assignments as required
To be successful in this role, we’re seeking the following:
- Preferred secondary/university graduate in business, compliance, finance, accounting, or related discipline or equivalent combination of education and experience. Relevant industry qualifications are an advantage especially in the area of Financial Crime Compliance
- Minimum of 5-7 years financial industry experience preferably with minimum 3 years of Financial Crime Compliance & Risk, Financial Crime Compliance testing, control testing and/or internal audit experience with a solid understanding of the key steps of testing review/audit processes preferably at a large bank, financial institution, public accounting firm or regulatory body
- Sound knowledge, understanding and awareness of APAC laws, rules and regulations
- Ability to work independently under tight deadlines and competing priorities and being proactive in terms of planning and execution of reviews, raising and escalating challenges or concerns to team leaders and managers in a timely manner
- Ability to work with stakeholders across the Three Lines of Defense