Compliance Assistant Manager - Singapore - FP Global

    FP Global
    FP Global Singapore

    2 weeks ago

    Default job background
    Full time
    Description

    Our client, boutique corporate & fiduciary company is looking for a responsible Assistant manager in Compliance to manage the AML/CFT compliance matters as regards the company's corporate secretarial services offering in Singapore and offshore jurisdictions.

    Job Requirements:

    • Guarantee adherence to both group compliance procedures and local compliance regulations (whichever sets a higher standard) for employees interfacing with clients in Singapore.
    • Aid in the assessment and coordination of initial new client intake requests for businesses under the trust license.
    • Assist in overseeing and resolving the management of outstanding issues (such as missing documents/information, review dates, and audit dates) in alignment with the group compliance program.
    • Assist in reviewing all applications for new business and, if necessary, seek clarification from relevant client-facing employees.
    • Serve as the primary contact person with local regulators.
    • Compile and distribute the monthly compliance report to the Board of Directors.
    • Conduct periodic reviews of existing client portfolios and report their status to the Board of Directors.
    • Assist in preparing and reviewing annual mandatory returns/reports for submission to local authorities.
    • Conduct gap analyses between regulatory requirements and current processes as needed.
    • Assist in ensuring compliance with FATCA, CRS, and GDPR regulations.
    • Take the lead on ad-hoc compliance projects as necessary.
    • Develop, review, update, implement, and conduct training programs on anti-money laundering and specific compliance measures.
    • Provide daily support and guidance on compliance matters, particularly regarding KYC documents, to the administration team.
    • Review client onboarding documents to ensure compliance with ACRA regulations and internal policies.
    • Follow up on any outstanding or missing KYC/compliance documents and information.
    • Conduct periodic compliance reviews, monitoring for changes, and updating client files accordingly.
    • Perform due diligence searches and client screening, resolving any matches found.
    • Ensure proper filing and storage of all compliance documentation, whether physical or digital.

    Qualification and Requirements:

    • Collaborate effectively with client-facing staff to uphold a high standard of compliance across all business functions.
    • Possess strong communication, interpersonal, and influencing skills to motivate others.
    • Hold qualifications in Risk, Compliance, or Audit (such as ICA or ACAMS, CPA, etc.), along with a Compliance professional diploma/certificate.
    • Demonstrate self-motivation and the ability to multitask in a fast-paced environment.
    • Be a fast learner capable of independent action when necessary.
    • Work well within a team environment.
    • Familiarity with Sharepoint and database document management systems is advantageous.
    • Possess 5 to 8 years of relevant experience in AML/CFT compliance
    • Exhibit awareness of commercial sensitivity and the need for confidentiality.
    • Have prior experience in people management and supervision.
    • Previous experience communicating with local regulators is preferred.