Regulatory and Compliance Specialist (QFB) |Banking|Perm|8K

at  GREENLANE PRIVATE LTD

Singapore, Southeast, Singapore -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate18 Sep, 2024USD 8000 Monthly19 Jun, 20245 year(s) or aboveDue Diligence,Interpersonal Skills,Trading,Whatsapp,RegulationsNoNo
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Description:

Our client, a leading foreign bank, is seeking a skilled Regulatory and Compliance Senior Officer (QFB) to join their team.

JOB REQUIREMENTS:

  • Recognized bachelor degree or above, preferably in Business or a related discipline.
  • At least 5 years of relevant experience in a regulatory compliance role.
  • Experience in SFA/FAA advisory.
  • Performed compliance review/compliance testing such as Balanced Scorecard Review, Private Banking Sales Advisory Review, Continuing Professional Development review, Fit and Proper Review, etc., or due diligence for new product onboarding/product variation of existing products.
  • Working knowledge of the Banking Act would be advantageous.
  • Strong knowledge of local rules and regulations.
  • Good interpersonal skills to handle stakeholders across multiple departments.
    Greenlane is a recruiting firm based in Singapore, specializing in banking, trading, tech, and other industries. Feel free to reach out to us via WhatsApp at +65 9188 0521.
    EA Licence No.: 20C0261 | Registration No.: R209484

Responsibilities:

  • Conduct the implementation of the branch compliance plan.
  • Respond to regulatory authorities’ routine queries and coordinate completion of surveys and other requests for information.
  • Develop and perform periodic compliance reviews.
  • Investigate compliance breaches and customer complaints.
  • Draft the annual compliance plan for HOD and management approval.
  • Conduct compliance training and provide advisory on Banking Act, SFA, FAA, and other compliance matters.
  • Implement and update compliance policies and procedures based on Head Office and local regulatory requirements.
  • Prepare/review periodic reporting to local regulatory authorities, Head Office, and Management.
  • Track/monitor changes and updates on local regulations, conduct briefings and discussions on implementation with relevant departments, and perform post-implementation reviews.
  • Conduct annual regulatory risk assessments.
  • Handle any other tasks or duties assigned by the Head of Department or the Company.


REQUIREMENT SUMMARY

Min:5.0Max:10.0 year(s)

Banking/Mortgage

Banking / Insurance

BFSI

Graduate

Business or a related discipline

Proficient

1

Singapore, Singapore