We are seeking an experienced and detail-oriented Compliance Officer to join our team. This role is to support the Chief Compliance Officer in ensuring that the company complies with regulatory requirements as well as internal policies.
Job Responsibilities
1. Responsible for the implementation and enhancement of the Compliance framework within the company
2. Develop and update the Compliance policies and procedures e.g AML, Data Protection, Risk Management etc
3. Conduct screening and due diligence review on prospects and referral partners before onboarding
4. Conduct ongoing monitoring on existing clients
5. Conduct post transaction review to ensure adherence to regulations and internal policies
6. Track the CPD training hours of the licensed representatives and maintain the record keeping
7. Prepare and maintain the compliance reports for management and regulatory reporting
8. Assess the Outsourced Service Providers and administer the Outsourcing Register of Outsourced Service Providers
9. Handle compliance related queries from staff
Job Requirements
1. Bachelor’s degree, preferably in Business related fields
2. Minimum 3 years of compliance experience in the financial services or insurance industry
3. Self-motivated and driven, able to work independently
4. Meticulous, good analytical and problem solving skills
5. Good communication and interpersonal skills
6. Familiar with Financial Advisers Act (FAA) or Insurance Act or MAS Notices/Guidelines is preferred
7. Familiar with Balanced Scorecard (BSC) framework is an added advantage