Compliance Officer
Our client is reputable commodity trading MNC and is one of the world’s biggest energy and resources companies, with Singapore as its Asia Pacific HQ. As a result of business expansion, an opportunity has arisen in the Compliance team and be responsible for compliance monitoring and advisory matters. This role will report to the Head of Compliance and Risk.
You will be responsible for providing compliance guidance to senior management, traders, risk managers and operators. This would include dealing with ad-hoc compliance issues when they arise. You will also perform KYC reviews on all areas of the business, in accordance with the Group Compliance policies and guidelines. You will also maintain the internal controls of the relevant teams and help to ensure that the teams adapt to those procedures. You will also be reviewing the international and local regulations that will have a direct impact on the trading business and ensure that the staffs are kept up-to-date with these changes. You will also work closely with the Head Office Compliance team to ensure that the Compliance approach is consistent throughout the Asia Pacific entities.
You will be degree qualified in finance or accounting, with 3-5 years of experience in a compliance and risk role, ideally in a commodities/ energy trading environment. You will also have a strong working knowledge of compliance and regulatory risks within a trading environment. You will also be able to work independently, possess strong communications due to the need to engage with senior management as well as be meticulous due to the need for accuracy in this role.
To apply, please submit your resume to Ailing Huang at ah@kerryconsulting.com, quoting the job title and reference number AH5860. Only successful shortlisted candidates will be notified.
Licence No: 03C4828
Registration no: R1104181
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