Responsibilities
- Act as one of the primary contact points for regulatory bodies, fostering positive relationships with regulators and ensuring open lines of communication.
- Provide regulatory compliance advisory to business and function stakeholders in relation to the Banking Act and its applicable regulations.
- Manage compliance risks and uphold compliance with Singapore regulations for the Bank by ensuring adherence to Compliance policies and procedures, amongst others.
- Monitor and highlight new regulatory requirements to relevant stakeholders and senior management, and help operationalise, where necessary.
- Assist in addressing queries from the regulators, auditors and authorities, and ensure timely submission.
Requirements
- About 10 years of experience in regulatory, compliance or advisory roles in SME/corporate banking or financial institutions.
- Well understanding of regulations especially on Banking Act and Payments Services Act.
- Prior experience working as a regulator.
- Experience in dealing with audits and/or regulatory examinations.
- Proactive, highly motivated, and versatile team player, possessing strong communication skills with proven ability to work independently and under pressure.
We regret that only shortlisted candidates will be notified.
EA License No.: 01C4394 (PERSOLKELLY Singapore PTE LTD)
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