Compliance Executive - Geylang
Kensington Corporate Management Geylang Full-time
Your next opportunity
You will play a crucial role in assisting our organisation in maintaining regulatory compliance. Your responsibilities will encompass ensuring adherence to industry-specific and regulations, conducting compliance assessments, and collaborating with internal teams to implement best practices.This role offers an exceptional opportunity for career growth and development in the field of trust and fiduciary compliance.
Key Responsibilities:
- Conduct customer due diligence (CDD) checks for onboarding process and perform periodic CDD reviews.
- Provide first-level operational guidance to business teams on compliance, anti-money laundering matters.
- Conduct screening and searches as part of ongoing monitoring process.
- Assist with the preparation and submission of FATCA and CRS reporting.
- Assist with preparation and filing of suspicious transaction reports.
- Assist with review and update of relevant internal policies and procedures to ensure compliance with changes in regulatory requirements.
- Assist with conduct of compliance reviews and follow-ups on audit findings.
- Provide support to the head of department in ad-hoc projects and responsibilities assigned.
Qualifications Requirements:
- Bachelor’s degree in business, accountancy, banking and finance or law; diploma in law will be considered
- 1-2 years of experience in Compliance Executive or similar role; remuneration will commensurate with relevant experience
- Keen eyes for details and meticulous with work
- Strong verbal and written communication skills
We regret to inform you that only shortlisted candidates will be notified.
PersolkellyGeylang
About the role
Reporting to the Risk and Compliance Manager, the incumbent is required to provide support for Risk and Compliance team day-to-day operations. This includes interacting with various departments to provide guidance on compliance...
STATE BANK OF INDIAGeylang
Responsibilities
Regulatory Compliance
• Provide compliance advisory in areas of Banking Act 1970 (“BA”), Securities and Futures Act 2001 (“SFA”) and Financial Advisers Act 2001 (“FAA”) to all Business Units and departments.
• products.
• Update...
CapitaLandGeylang
any legal, risk and compliance issues that may arise from time to time
• Lead employee training sessions on legal issues.
• Able to project manage ad-hoc projects & duties assigned.
Compliance
• Implementation, monitoring and reporting of regulatory...