Our client is a top European Asset Management Firm with strong global presence over 20 countries. They have a strong presence in offering investment advice and services to a wide range of wealth and wholesale intermediaries and institutions. They are one of the largest asset managers in the world, over $500 Billion AUM.
We are hiring a Compliance Manager to be based in the Singapore office. This is a great opportunity for compliance candidates that are looking for a managerial position as you will one of the leading members of the team. You will also be required to provide independent compliance advisory to their top management.
Our ideal compliance candidate for this Compliance Manager role should have more than 5 years of experience with Compliance, asset management and well-versed in KYC and AML frameworks. We are keen to see compliance candidates who have strong experience in asset management-related work. We are also open to compliance candidates who come from Compliance within banking or financial services.
The main responsibilities for the Senior Compliance Analyst role with the American Investment firm:
Spearhead all compliance advisory matters
Oversee all compliance regulatory functions and provide advice where required
Keep track of and manage updates to regulatory compliance developments within the region
Take charge of firm’s compliance responsibilities where required
Review and implement policies and procedures for the firm
Analyse existing compliance rules and regulations and review implementation of compliance policies and procedures
Liaise with stakeholders and provide advice to firm’s top management
This is an exciting opportunity to be part of one of the top European Asset Management firms in the world. We are keen to see highly motivated compliance candidates who are strong in AML KYC Frameworks, and keen to take on leadership roles.