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Compliance Senior Executive/ Manager

Phillip Securities
Singapore
S$6,500-S$8,000 p/m
Banking & Financial Services → Compliance & Risk
Full-time
Hybrid

Posted 4 days ago


Job Summary:

We are looking for an experienced, proactive and detail-oriented Compliance officer, with at least 5 years of experience in the asset and fund management industry in Singapore or other APAC markets. The successful candidate will provide advisory and support the development, implementation, and monitoring of the firm’s compliance framework and program, ensuring alignment with local and regional regulations.

Key Responsibilities:

Review and monitor fund management activities, discretionary mandates, and investment advisory services for regulatory compliance.

Maintain and update compliance policies and procedures to reflect evolving MAS requirements and industry best practices.

Conduct internal compliance monitoring and surveillance across front-office, middle-office, and back-office functions.

Support the review and submission of regulatory filings, regular compliance reports, and other regulatory surveys as required.

Provide compliance advisory support to portfolio managers, product teams, and distribution staff on fund launches, marketing materials, and cross-border marketing requirements.

Deliver regular compliance training and regulatory updates to staff across the organization.

Assist in liaison with external auditors, legal counsel, and regulatory authority where applicable, including handling inspections and audits.

Track regulatory developments, conduct impact assessments, and assist in implementing regulatory changes across the business.

Qualifications:

Bachelor’s degree in Accountancy, Finance, Business or related field

At least 5 years of experience in the asset and fund management industry

Knowledge of the Singapore regulatory framework (SFA, FAA, VCC, AML/CFT, MAS Notices and Guidelines, Code on Collective Investment Schemes)

Preferred

Experience with regulatory engagement and reporting to MAS

Experience with monitoring compliance with the Code on Collective Investment Schemes and reporting of investment breaches to the regulator.

Experience and knowledge with VCC, private equity is an advantage

Ability to work independently and confidently in a fast-paced, regulated environment

Excellent interpersonal, analytical, and communication skills

ICA certificate or diploma in Compliance is an advantage

Knowledge or familiarity with automation with Artificial Intelligence tools and data tools such as RPA, UiPath, Tableau


About Phillip Securities

Singapore
Banking & Financial Services
501-1000 employees

Since 1975, PhillipCapital has grown as an integrated Asian financial house with a global presence that offers a full range of quality and innovative services to retail, corporate and institutional customers.

Our comprehensive suite of financial products and services includes fund management, managed accounts, unit trusts, insurance planning, regular savings, contracts for difference, exchange traded funds, investment research, equity financing, property; and broking in bonds, securities, futures, foreign exchange, precious metals and commodities. Institutions can also benefit from our corporate finance and advisory services as well as information technology solutions.

PhillipCapital (with headquarters in Singapore) operates in the financial hubs of 16 countries, with offices in Singapore, Malaysia, Cambodia, Indonesia, Thailand, Hong Kong, China, Japan, India, Sri Lanka, UAE, UK, France, Turkey, Australia and USA.

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