Save Job Back to Search Job Description Summary Similar JobsLead Compliance and MLRO for a growing Singapore fund services platformShape the compliance framework for a new institutional services businessAbout Our ClientOur client is an established international financial services group with a strong global presence across institutional and investment services. The organisation supports asset managers, investment funds and institutional investors through a broad range of fund and asset servicing solutions across multiple markets.As part of its continued expansion in Asia, the group is establishing a new Singapore operation and is building out its local governance, compliance and financial crime capabilities. This represents an opportunity to join the business at an early stage and contribute directly to the development of its Singapore platform.Job DescriptionAct as the local Head of Compliance and MLRO, overseeing regulatory compliance, AML/CFT and financial crime matters for the Singapore business and its administered funds.Establish and maintain compliance frameworks, risk assessments, monitoring programmes and control plans appropriate to the business and individual fund structures.Review and investigate suspicious activity, higher-risk relationships, PEPs, sanctions and other financial crime matters, ensuring appropriate escalation and reporting.Lead regulatory engagement, including responses to regulatory enquiries, inspections, questionnaires, audits and ongoing regulatory developments.Develop and maintain local policies and procedures while working closely with regional and global Compliance teams to ensure alignment with group standards.The Successful ApplicantMinimum 8 years of relevant Compliance and AML/CFT experience within financial services, ideally gained within fund administration, asset servicing, securities services, trust services or investment management.Prior experience acting as an MLRO, Deputy MLRO or Compliance professional with direct responsibility for suspicious activity investigations, higher-risk clients and AML controls.Good understanding of Singapore regulatory requirements and experience dealing directly with regulators, audits or supervisory reviews.Strong knowledge of fund structures, fund services or institutional investment businesses, with the ability to assess regulatory and financial crime risks across different client and fund arrangements.What's on OfferThis is an opportunity to take on a highly visible leadership role within the new Singapore operation of an established global financial institution. You will have the opportunity to shape the local Compliance and AML framework from an early stage, work closely with senior stakeholders across the region and globally, and play an important role in the long-term development of the Singapore business.The organisation offers a competitive compensation package, strong international exposure and the opportunity to build a meaningful Compliance function within a growing institutional financial services platform.ContactDevan Nanthacumar (Lic No:R1871442 / EA no:18S9099)Quote job refJN-092026-7104754Phone number+65 6416 9879Job summaryFunctionBanking & Financial ServicesSpecialisationCompliance & LegalWhat is your area of specialisation?Financial ServicesLocationInternationalContract TypePermanentConsultant nameDevan Nanthacumar (Lic No:R1871442 / EA no:18S9099)Consultant contact+65 6416 9879Job ReferenceJN-092026-7104754