VP, Compliance, Global Investment Bank

My client is an investment bank with a significant presence in Singapore. As a result of increased regulatory requirement, I am seeking to hire several new headcounts in the regional compliance team.

The team will be responsible for compliance reviews across the IB and Corporate banking business in APAC. This team is a dedicated function within compliance focused on proactively assessing and reporting on areas of potential regulatory and reputational risks within the business.

You will be involved in/responsible for validating compliance against established policies and developing recommendations for corrective action plan. This will be in close relationship with business compliance colleagues as well as senior business stakeholders.

Degree qualified, you should have at least 6 years of relevant experience in advisory compliance for the a global corporate or investment bank with a strnog focus on capital markets or regulatory. You should have effective written and verbal communication skills and have demonstrated success in working with senior business stakeholders.

This is an exciting opportunity for business compliance candidates who are looking for a more predictable work life balance while keeping upto date with regulatory issues. Candidates with regulatory background and sales/trading compliance background will be strongly preferred.

Singapore Employment Agency Licence No: 07C2942

April 26, 2013 • Tags:  • Posted in: Financial

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