Jobs

    Compliance Officer/Manager - Singapore - Maybank Singapore

    Maybank Singapore
    Maybank Singapore Singapore

    1 day ago

    Default job background
    Full time
    Description
    JOB DESCRIPTION
    The position reports to the Head of Regulatory Advisory. Seniority of position to be offered will be commensurate with the candidate's actual experience.

    JOB RESPONSIBILITIES


    Job Description :

    • Provide ongoing compliance support and advice on day to day operations in compliance with the Bank's compliance framework, including new business initiatives, products and projects, outsourcing arrangements and third party arrangements.
    • Proactively monitor and assess new and emerging regulations issued by MAS, PDPC and other relevant regulatory authorities.
    • Assess regulatory breaches.
    • Validate customer complaints in relation to investment and insurance sales and advisory process.
    • Develop and maintain compliance framework and policies to ensure compliance to regulatory requirements.
    • Assess the adequacy and effectiveness of internal controls, procedures and guidelines to ensure all significant Compliance risks are identified and managed appropriately.
    • Provide regulatory compliance trainings for staff in the Bank.
    The trainings will pertain to relevant policies and procedures, as well as thematic trainings on new MAS and/or BNM regulations.

    • Drive and/or participate in projects to implement internal policies or regulatory requirements.
    • Support in preparing reports for governance meetings.
    • Coordinate and liaise with regulatory authorities on regulatory enquiries, reporting, inspection or investigation.
    • Coordinate internal and external audits within compliance department, including commenting on and closing audit findings and/or recommendations.
    • Assume any other tasks as assigned by the Head of Regulatory Advisory and/or Chief Compliance Officer, Singapore.
    JOB SKILLS
    Defining-Problems
    Teamwork
    Critical-Thinking

    JOB REQUIREMENTS

    • General degree holder, preferably in Law or Business.
    • Minimum of 3 5 years of relevant Regulatory Compliance experience.
    • Good working knowledge of Banking Act, FAA, SFA, PDPA and other local regulations applicable to full banks.
    • Good interpersonal and communication skills.
    • Organizational understanding and strong team player.
    • Strong analytical and problem solving skills, together with good policy writing ability.
    • Ability to multi task effectively.

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