Compliance Manager - Singapore - ACCESS PEOPLE (SINGAPORE) PTE. LTD.

Wei Jie

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Wei Jie

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Description
My client is a growing, global Securities firm with a strong presence in APAC. They are seeking a Compliance Manager specializing in FX and Options (Derivatives) Products to join their team.


In this pivotal role, you will be responsible for ensuring adherence to regulatory requirements and internal policies specifically related to FX and Options trading activities.

Your expertise in derivatives products and regulatory frameworks will be crucial in maintaining our compliance standards and supporting business objectives.


Key Responsibilities:

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Derivatives Compliance:Stay abreast of regulatory developments and industry best practices pertaining to FX and Options trading, ensuring compliance with relevant laws and regulations.
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Policy Development:Develop and update compliance policies and procedures specific to FX and Options products, aligned with regulatory guidelines and market trends.
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Training and Education:Conduct training sessions for trading and compliance teams to enhance awareness and understanding of derivatives compliance obligations.
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Monitoring and Surveillance:Implement monitoring and surveillance programs to detect and address potential market abuse, insider trading, and other compliance breaches in FX and Options trading.
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Reporting and Documentation:Prepare and submit regulatory reports related to FX and Options trading activities, ensuring accuracy and timeliness in compliance reporting.
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Investigations and Remediation:Lead or assist in investigations of compliance incidents or breaches related to FX and Options trading, coordinating remedial actions and reporting findings to senior management and regulators.
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Collaboration and Advisory:Collaboration with trading desks, risk management, legal, and other stakeholders to provide timely compliance advice and support for new product launches, trading strategies, and business initiatives.
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Compliance Culture:Foster a culture of compliance and ethical conduct within the FX and Options trading teams, promoting integrity and adherence to regulatory standards.


Key Requirements:


  • Bachelor's degree in finance, law, or a related field (advanced degree or professional certification such as CAMS, CFE, or CSCP is advantageous).
  • Minimum of 5 years of experience in compliance roles within the financial industry, with a focus on FX and Options (Derivatives) products.
  • Indepth knowledge of derivatives trading regulations, including but not limited to MAS guidelines in Singapore.
  • Strong understanding of FX and Options trading practices, risk management principles, and market surveillance techniques.
  • Excellent analytical skills with the ability to assess complex compliance issues and develop pragmatic solutions.
  • Effective communication and stakeholder management skills, capable of engaging with senior management, traders, and regulators.
  • Proven track record in developing and implementing compliance programs for derivatives products.
  • Detailoriented approach with a commitment to upholding the highest standards of integrity and professionalism.

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