Compliance Officer
Job Description
- Provide regulatory advisory on MAS’ requirements.
- Perform gap analysis on new/revised MAS’ requirements.
- Maintain and review policies/procedures managed by Compliance team.
- Review marketing materials from a regulatory perspective.
- Review policies/procedures submitted by other teams and Head Office.
- Design and perform compliance review.
- Review and provide advisory on RNF.
- Prepare periodic compliance reports to Head Office.
- Monitor and disseminate MAS’ update to management, relevant teams, and Head Office.
- Participate or support regulatory or business projects involving Compliance team.
- Ad hoc tasks as assigned by Team Head.
Job Requirement
- Minimum 5 years of relevant regulatory compliance experience within a Banking environment
- Comprehensive knowledge of business standards, policies and procedures in a Banking environment (Private Banking is a plus).
- Well versed in Securities and Futures Act and Financial Advisers Act And Banking Act.