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Compliance Manager
CSC · SG
SG · HybridFull-TimePosted Jun 30, 2026
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Free · no credit card · 30 secondsJob description
Compliance Manager
Singapore
Monday – Friday, 09:00 – 18:00
Hybrid
Intro:
You will report directly to the Director, Compliance and Risk, Singapore and also be responsible to ensure risk and compliance with the relevant legal and regulatory requirements as well as in-house policies and procedures for Singapore Corporate, Funds and Capital Markets business.
Some of the things you’ll be doing:
- Act as the Deputy Money Laundering Reporting Officer (“DMLRO”) for CSC Singapore entities
- Provision of independent sound risk & compliance advice and support on client acceptance based on the prevailing company and group policies as well as the relevant local legislation, rules and industry practice
- To conduct risk & compliance monitoring on a timely basis, including but not limited to regular review of client entities, transaction monitoring, processing & clearance of suspicious hits, and specific thematic review(s)
- Provide compliance support to Corporate Legal Solutions (CLS), Funds and Capital Markets business lines, including regulated trustee and agency services.
- Ensure compliance with MAS & ACRA obligations and liaise with internal stakeholders on licensed entity governance.
- Support the implementation and monitoring of compliance frameworks for licensed entities, including regulatory reporting and breach management.
- Liaise and deal with Internal Audit inspections or enquiries
- To conduct risk & compliance investigation pertaining to incidents, complaints or administration issues (where required)
- To conduct risk & compliance induction to new staff and provide ongoing risk & compliance training to existing staff
- To prepare relevant risk & compliance management information & reports To participate in ad hoc risk & compliance related projects
What technical skills, experience, and qualifications do you need?
- Degree holder in Law, Accounting, Finance or related discipline
- Minimum of 5 years’ experience in compliance
- Solid experience in managing risk & compliance framework in accordance to regulatory and statutory requirements
- Experience supporting Capital Markets or financial services with licensed entity obligations (e.g., MAS & ACRA, AML/CTF).
- Familiarity with CMS, SFA, TCA and MAS & ACRA regulatory expectations.
- Prior experience working with regulated trustee, escrow, or agency services is highly desirable.
- Sound knowledge of local regulations rules and regulations AML qualifications (ACAMS or equivalent)
- Strong organization and time management skills
- Ability to independently and effectively work with different stakeholders
- Good command of both written and spoken English. A second language will be an advantage
- Independent, meticulous, pro-active, attentive to details, self-motivated, outspoken, keen to learn, and capable of meeting new challenges with excellent communication skills
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