Save Job Back to Search Job Description Summary Similar JobsGreat opportunity to join a established & top tier asset management firmLead to entire end to end compliance function of the firmAbout Our ClientOur client is a well established and top tier asset management firm with a strong global presence. They are currently looking for an experienced compliance professional to lead and oversee the end to end compliance functions of the firm and uphold a strong compliance and governance framework that reflects industry best practices.Job DescriptionCompliance and Regulatory OversightSupport the development and upkeep of local policies, procedures, and internal controls aligned with Group standards and regulatory expectations.Liaise with the Group Compliance function on policy revisions, monitoring activities, and regulatory projects.Maintain the compliance monitoring program and contribute to periodic internal compliance reviews.Ensure operational readiness for potential regulatory interactions in the future.Track regulatory updates and ensure internal policies are current and compliant.Assist in preparing and delivering compliance training materials.Provide periodic compliance updates to the Management Committee.Maintain accurate documentation and records in line with internal and Group compliance requirements.AML/KYCContribute to the development and execution of the Company's AML/KYC framework, aligned with best practices and relevant MAS guidelines and notices.Support ongoing AML/CFT risk assessments and conduct CDD/EDD for investors.Monitor transactions and maintain readiness to prepare Suspicious Transaction Reports (STRs), if required.Keep up to date with MAS regulations, enforcement actions, and FATF developments.Assist in preparing and delivering annual AML training sessions.The Successful ApplicantTo succeed in this role, you should ideally possess the following:Bachelor's degree in Accounting, Finance, Business, Law, or a related discipline.Additional certifications in compliance, risk, or finance (IBF, GARP, FRM, etc.) are beneficial.Minimum 5 years' compliance experience in asset management, fund management, or financial services, with familiarity working under MAS or SFO regulatory frameworks.Strong understanding of SFA, SFR, MAS Guidelines, and AML/CFT requirements.Experience supporting regulatory inspections or audits is an advantage.Knowledge of fund structures, investment products, and operational processes.Strong analytical and organizational capabilities with high attention to detail.Curious, fast learner, and proactive in identifying solutions.What's on OfferFantastic and rare opportunity to join a top tier asset management firm and drive strong compliance frameworks and lead the compliance function of the firm.Newly created headcount with strong autonomy and compliance oversightCompetitive salary with great culture and benefitsIf you are a dedicated professional looking to excel as a Compliance Manager in Singapore, we encourage you to apply for this exciting opportunity with a top tier asset management firm.ContactDominic Chong (Lic No: R21102554 / EA no:18S9099 )Quote job refJN-112025-6882009Phone number+65 6541 9857Job summaryFunctionBanking & Financial ServicesSpecialisationCompliance & LegalWhat is your area of specialisation?Financial ServicesLocationSingaporeContract TypePermanentConsultant nameDominic Chong (Lic No: R21102554 / EA no:18S9099 )Consultant contact+65 6541 9857Job ReferenceJN-112025-6882009