Responsibilities:
- Conducting regulatory Compliance reviews ( ex: MAS 603, SFA, FAA etc.)
- Capacity to handle multiple distinct reviews with various stakeholders simultaneously
- Carry out the reviews according to the Group's testing practices
- Identify regulatory risks, notify accordingly and provide adequate solutions
- Design review programs for effective implementation
- Support other function in compliance activities
- Take part in projects on an ad-hoc manner
- Be aware of current regulatory developments and relevant practices
- Assist supervisor in carrying out duties related to compliance
- Conduct training and iterate training materials
- Conduct regulatory reporting correspondingly for identified regulatory issues
Requirements:
- Strong knowledge of the SFA FAA and Banking Act
- Relevant experience in Compliance Testing/ Audit/ Advisory Background (Banking and Financial Industry)
- Excellent organisational skills