int(11622)
Singapore, Singapore

Regulatory Compliance Manager

Our Client is looking for a Regulatory Compliance Manager

Please contact Marcus and email your cv directly in word format to corporategovernance@theedgepartnership.com

Please note that due to the high number of applications only shortlisted candidates will be contacted. We regret to inform you that your application for this position was unsuccessful if you do not hear from us in the next 5 business days.

EA License: 16S8131

Recruiter License: R22104670

Apply for this Job

Key responsibilities

  • Regulatory Advisory & Analysis: Provide guidance on Monetary Authority of Singapore (MAS) requirements and perform gap analyses for new or revised regulations.
  • Policy & Procedure Management: Maintain and review compliance-related policies and procedures, including those submitted by other teams, ensuring alignment with regulatory standards.
  • Compliance Oversight: Review marketing materials from a regulatory perspective, design and perform compliance reviews, and manage training records.
  • Reporting & Communication: Prepare compliance reports for Head Office, disseminate MAS updates to management and relevant teams, and support regulatory or business projects.
  • Ad Hoc Responsibilities: Participate in additional tasks and initiatives as assigned by the Team Head.

Role requirements

  • 5+ years of experience in regulatory compliance within the Banking sector.
  • Mandarin speaking would be an advantage as this individual is required to handle mandarin speaking stakeholders
  • In-depth understanding of industry standards, policies, and procedures specific to the Banking sector (experience in Private Banking is an advantage).
  • Strong knowledge of the Banking Act, Securities and Futures Act (SFA), and Financial Advisers Act (FAA).
  • Exceptional communication and presentation skills, with the ability to effectively collaborate with colleagues at our Head Office