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Our client is a CMS Licensed Asset Manager with a dynamic work environment and a fast-growing international footprint. They are looking to hire for their compliance team to assist the business in operating in adherence to local as well as global regulations.
about the job
Your role responsibilities include:
Advising business as well as updating company policies as necessary with regards to relevant MAS notices and relevant regulations under the Securities and Futures Act (SFA)
Manage the Anti-Money Laundering and Counter Financing of Terrorist (AML/CFT) programme, and assist with client onboarding, periodic reviews, etc.
Continually enhancing the compliance framework and assisting with regulatory and compliance matters with respect to local as well as global operations
Facilitating in internal and external audits
Work closely with external vendors such as the fund administrator, corporate agents, external counsel etc.
Conducting training on compliance matters for all staff
skills and experience required
Degree in Accountancy, Banking, Business or Law, or relevant professional qualification in financial services or audit
Minimum 3 years of relevant experience in Compliance roles within Asset Management/ Investment Management sector
Excellent communication and interpersonal skills
To apply online please use the 'apply' function, alternatively you may contact at <98237297>. (EA: 94C3609/ )