Compliance Manager (Asset Management)

International Permanent View Job Description
An opportunity has arisen for an experienced Compliance Manager to join a globally recognised asset management firm in Singapore. This role offers full ownership of Singapore regulatory compliance under a Capital Markets Services licence, with responsibility across regulatory reporting, licensing, compliance monitoring and governance oversight within a structured global framework.
  • Lead Singapore regulatory compliance within a licensed fund management platform
  • Ownership of filings, licensing and compliance governance

About Our Client

Our client is a respected global asset management firm with a strong international footprint and an established presence in Singapore. Operating under a Capital Markets Services licence for fund management, the firm manages regulated investment strategies across multiple markets and is recognised for its disciplined governance culture and stable operating platform.

Job Description

  • Monitor regulatory developments in Singapore and assess the impact of new or revised regulatory requirements, supporting implementation within the Singapore entity.
  • Manage and ensure timely submission of all regulatory filings, surveys, notifications and restricted scheme reporting obligations.
  • Oversee licensing matters for the Singapore office, including representative applications, notifications and ongoing regulatory requirements.
  • Execute and maintain the compliance monitoring programme, risk assessments and statutory compliance registers (e.g. outsourcing, CPD, breaches, personal account dealing).
  • Serve as the primary liaison with external compliance consultants, support Data Protection Officer (DPO) responsibilities, and provide support on AML/CFT reviews and marketing material approvals as required.

The Successful Applicant

  • At least 8 years' compliance experience within fund or asset management, preferably from a global asset manager.
  • Strong working knowledge of the Securities and Futures Act (SFA) and regulatory framework applicable to fund management companies.
  • Proven experience managing regulatory filings, licensing matters and compliance monitoring within a CMS-licensed environment.
  • Experience maintaining compliance registers and governance documentation.
  • Ability to operate independently within a structured global framework while partnering effectively with regional and global stakeholders.

What's on Offer

This role offers the opportunity to join a well-established global asset management platform with a stable and growing presence in Singapore. You will take ownership of Singapore regulatory compliance within a licensed environment, working closely with regional and global stakeholders while operating within a robust governance structure. The organisation offers competitive remuneration aligned with market standards and a collaborative compliance culture focused on long-term stability and excellence.

Contact
Devan Nanthacumar (Lic No:R1871442 / EA no:18S9099)
Quote job ref
JN-122025-6902793
Phone number
+65 6416 9879

Job summary

Function
Banking & Financial Services
Specialisation
Compliance & Legal
What is your area of specialisation?
Financial Services
Location
International
Contract Type
Permanent
Consultant name
Devan Nanthacumar (Lic No:R1871442 / EA no:18S9099)
Consultant contact
+65 6416 9879
Job Reference
JN-122025-6902793

Diversity & Inclusion at Michael Page

We don't just accept difference - we celebrate it. We encourage applicants from all backgrounds to apply for this role and are committed to building inclusive, diverse workplaces where everyone can thrive. If you require any support or reasonable adjustments during the recruitment process, please let us know.