VP Compliance Capital Markets – Futures recruitment
- Excellent opportunity to join a growing team
- Strong compliance culture
- Well-regarded International Bank
Our client is looking for a high calibre candidate to be the primary compliance person for the bank's futures business. You will provide compliance support for the capital markets business and all associated Singapore regulated entities.
The successful applicant will be responsible for providing risk-based commercial advice on regulatory and policy issues, the development of new markets/products and training as required. You will be an alternative support for Sales and Trading front office professionals within capital markets. In addition to giving policy advice to the business, you will conduct monitoring and review programmes for Singapore regulated entities.
To qualify, individuals must possess:
- Bachelor's Degree
- Minimum 8 years compliance (or related) experience
- Good understanding of financial products within the banking and capital markets industry
- Expert knowledge of SFA, FAA, Banking Act s47 and SGX regulations
- Experience in dealing with regulators or knowledge of/exposure to regional capital markets or banking sector
Contact Laura Krippner on (65) 6854 5612 or APPLY NOW by clicking the button below quoting FC/LK18859 www.ambition.com.sg
Data provided is for recruitment purposes only
Business Licence Number:200611680D. Licence Number: 10C5117.