Compliance Officer
DH WEALTH MANAGEMENT PTE. LTD. Downtown Core Full-time
Compliance Officer
We are seeking an experienced and detail-oriented Compliance Officer to join our team.
The successful candidate will be responsible for tracking regulatory developments, supporting policy governance, maintaining regulatory risk assessments, and assisting in the execution of compliance assurance activities, particularly the Anti-Money Laundering and Countering the Financing of Terrorism (“AML/CFT”), and Proliferation Financing (“PF”).
Responsibilities:
Regulatory intelligence and impact assessment- Monitor and track relevant regulatory updates and emerging risks.
- Assist in impact analysis and communication of regulatory changes to key stakeholders.
- Maintain a regulatory change tracker and coordinate with business units for timely action.
- Perform enterprise-wide risk assessment, evaluate and develop mitigating action plans.
- Monitor compliance to CMS licensing conditions.
- Prepare, submit and handle enquiries related to regulatory reports, ah-hoc MAS forms and surveys.
- Assist in the periodic review and maintenance of compliance policies, standards, and procedures.
- Ensure proper documentation, version control, and communication of policy updates.
- Keep an up-to-date record of staff training placements and related materials.
- Assist in the planning and execution of compliance assurance reviews across business units.
- Document testing results, control effectiveness, and areas for improvement.
- Follow through on agreed remediation plans.
- Assist in improving AML/CFT framework and governance for the business and to provide support in related projects.
- Maintain register of list of clients and conduct client KYC/AML for new and existing clients.
- Maintain register of outsourced service provides and conduct annual due diligence reviews on the providers.
- Support the collation and preparation of compliance-related management information and dashboards.
- Ensure accurate reporting and maintain records for audit and regulatory review purposes.
- Bachelor’s degree, preferably in Business or Law related fields
- Minimum 3 years of compliance experience in the financial services
- Self-motivated and driven, able to work independently
- Meticulous, good analytical and problem-solving skills
- Good communication and interpersonal skills
- Solid understanding of MAS regulations, AML/CFT requirements and insurance industry practices
- Good communication and interpersonal skills to engage with regulators, management and staff
- Ability to work independently while being a strong team player
- Knowledge of relevant AI tools and personal data protection preferred
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