Head of Compliance – Corporate & Investment Banking recruitment

A leading specialist bank with a strong Asian brand and an ambitious and strategic growth plan for their Singapore/Asian offices are seeking a driven and motivated professional to join their team.

Due to expansion throughout the region and an increased focus in the industry on compliance issues, an exciting opportunity has arisen for a senior compliance professional to head the Firm’s compliance team in Singapore, focusing on the Banks Corporate and Investment Banking businesses.

In this role your key responsibility will be to oversee, review, interpret and disseminate current and proposed compliance regulations, laws, codes of conduct and industry best practices for the corporate and investment banking arm of the bank. You will also be providing compliance consulting and advice to the Business regarding compliance and risk issues.

This role will offer you the opportunity to build on your already strong regulatory compliance experience, to gain a broader base of experience and exposure across all areas of compliance, giving you the opportunity to grow and develop with the business and have real ownership of the compliance function of the Bank.

As this is a high visibility role, requiring close interaction with internal and external stakeholders, highly developed interpersonal and negotiation skills are mandatory.  

In order to be considered for this role you will have;

If you believe you fulfill the above criteria and would like to be considered for this opportunity please forward your full resume / CV (in MS Word Format) to Matthew Conway - matthew.conway@hays.com.sg