Job Responsibilities:
- Drive the compliance agenda to meet regulatory requirements relevant to the Trust business
- Review AML-related escalations and investigations
- Perform regulatory filings as appropriate.
- Advise business partners onSingaporeregulatory requirements, includingTrust regulatory requirements, anti-money laundering and financial crime matters, and new product initiatives.
- Manage regulatory examinations and inquiries.
- Guide the business on regulatory change management.
- Coordinate and conduct regulatory self-assessments and internal gap analyses.
- Review and advise on internal policies and procedures.
Required Qualifications, Capabilities, and Skills:
- Bachelor's degree or equivalent.
- Minimum 10years of experience inSingaporeregulatory compliance advisory roles, with strong knowledge of relevant regulatory requirements.
- Experience inSingapore Trustcompliance.
- Excellent analytical skills and sound judgment, with the ability to manage execution under pressure.
- Energetic, detail-oriented, and capable of multitasking in a fast-paced environment.
- Strong interpersonal skills and the ability to work effectively and independently in a team-oriented setting.
- Highly motivated self-starter with strong oral and written communication skills.
Preferred Qualifications, Capabilities, and Skills:
- Experience in a multinational financial sector.
- Familiarity with organization development tools and strong facilitation skills.
- Proven track record in project management and program delivery.