Licensed Fund Management Company – Singapore
About the Role:
We are looking for a Compliance Managerto develop, implement, and oversee the company’s compliance and risk management programs. This role ensures adherence to regulatory requirements, internal policies, AML/CFT obligations, and corporate governance standards. The ideal candidate will be meticulous, proactive, and capable of handling legal, compliance, and risk management responsibilities within a fund management environment.
Key Responsibilities:
Compliance & Risk Management:
- Develop, implement, and review the company’s compliance and risk management programs and policies.
- Monitor, evaluate, and ensure compliance with regulations, SOPs, and internal policies.
- Ensure timely resolution of compliance and risk-related issues
AML/CFT & Regulatory Compliance:
- Oversee and review compliance with AML/CFT requirements, KYC processes, and due diligence procedures.
- Ensure adherence to MAS regulations and other applicable financial industry laws.
- Conduct internal audits and compliance checks to mitigate risks and prevent financial crimes.
Regulatory & Legal Advisory:
- Conduct research to ensure compliance with applicable laws and regulations.
- Advise management on the implications of new laws, regulations, and governance requirements, recommending necessary actions.
- Liaise with law firms and regulatory bodies on legal and compliance-related matters.
- Review and draft contracts, agreements, and legal documents, providing relevant advice.
Corporate Governance & Internal Controls:
- Guide various departments in the drafting and implementation of SOPs and policies.
- Liaise with the Corporate Secretary on governance matters.
- Improve internal compliance controls and legal risk management frameworks.
Training & Reporting:
- Provide training and guidance on compliance, AML/CFT best practices, and risk management.
- Assist in compliance analysis, reporting, and documentation required by the company and/or parent company.
- Handle general administration, reporting, and filing tasks.
- Perform any other duties and responsibilities assigned from time to time.
Requirements:
- Degree in Business Administration, Law, or a related field.
- Minimum 2 years of experience in company compliance, AML/CFT, and risk management.
- Strong knowledge of MAS regulations, AML/CFT frameworks, KYC processes, and due diligence procedures.
- Meticulous with a strong ability to handle sensitive information and maintain confidentiality.
- Proactive mindset with a drive for continuous improvement.
- Strong multi-tasking and organizational skills, with the ability to meet deadlines.
- Excellent oral, written, and presentation skills.
What We Offer:
- A dynamic role in a growing fund management company.
- A collaborative and supportive work environment.
- A competitive remuneration package based on experience and performance.
How to Apply:
Interested candidates may submit their resumes to [enquiry@l-energycapital.co].