We are currently seeking a dedicated and experienced Part-Time Compliance Manager to oversee our compliance functions, particularly focusing on MAS regulations and CMS Licensing requirements. You will operate independently, taking ownership of compliance processes, reporting, and risk management. This role offers a balanced work-life schedule to accommodate flexibility and personal commitments.
Responsibilities
Develop, implement, review and maintain compliance manuals, procedures, and guidelines to identify outdated sections, gaps, and areas that need improvement.
Ensure that the company's practices are in accordance with regulatory requirements and industry standards.
Monitor and assess the effectiveness of the compliance program and make recommendations for improvements.
Ensure compliance with MAS regulations, including quarterly and annual submissions, regulatory notifications, and handling ad-hoc surveys requested by the MAS
Develop and deliver compliance training programs for employees at all levels.
Handle KYC assessments and onboarding documentation for new and existing clients.
Requirements
Educational background in Finance, Business Administration, Law, Accounting, or a related field.
5-8 years of experience in compliance or related field.
Experience in dealing with MAS regulations and compliance requirements specific to licensed fund management company preferred.
Ability to independently manage compliance processes, reporting, and risk management.
Seniors Candidates are also welcome.