Junior Risk and Compliance Officer
Yuanta Global Toa Payoh Full-time
Company Overview
Yuanta Global Singapore Pte Ltd is a futures brokerage and a key subsidiary of the Yuanta Financial Group, Taiwan’s leading derivatives provider. As a SGX-DT and SGX-DC member of Singapore Exchange, we are currently embarking on a strategic roadmap to expand our clearing footprint across major global derivatives exchanges.We offer a dynamic, institutional environment for individuals looking to scale their careers within the international brokerage and clearing space.
The Role
The Junior Risk and Compliance Officer serves as a critical second line of defence, identifying, measuring and mitigating the diverse array of risks the firm faces. You will support the development and maintenance of a robust risk management and regulatory compliance framework, ensuring the firm’s operations align with the Monetary Authority of Singapore (MAS) regulations, SGX-DT / SGX-DC Rules, and the evolving requirements of international futures exchanges.
Key Responsibilities- Regulatory Compliance & AML / CFT
- Assist in ensuring compliance with the Securities and Futures Act (SFA), MAS Notices / Guidelines, SGX-DT / SGX-DC Rules; support the preparation of regulatory submissions to MAS and SGX.
- Conduct Know Your Customer (KYC) and Customer Due Diligence (CDD) for corporate and individual clients.
- Keep abreast of regulatory changes in Singapore and global jurisdictions and assist in updating internal manuals and SOPs.
- Risk Management & Clearing Support
- Monitor daily Profit and Loss (PnL), Value at Risk (VaR) and margin requirements and credit risks associated with SGX clearing and future global exchange connections.
- Conduct initial credit assessments for new clients and perform period reviews. Assist in the oversight of risk limits, and position monitoring.
- Perform regular stress testing and liquidity risk monitoring in accordance with firm and exchange policies to safeguard financial health.
- Operational Risk & Internal Controls
- Conduct periodic compliance monitoring / testing and assist in handling internal/external audits as MAS / SGX inspections.
- Support the “Fit and Proper” assessment and conduct staff training on compliance to promote a strong risk culture.
- 2 to 3 years of relevant experience in Compliance or Risk within the financial services sector (brokerages, banks, or audit firms)
- Strong academic record with a Bachelor’s degree in Finance, Economics, or a related quantitative / analytical discipline.
- Practical understanding of the Securities and Futures Act (SFA) and exchange rules.
- Strong analytical skills and quick logical thinking ability.
- Strong interpersonal skills with the ability to communicate complex information to senior management and collaborate across departments.
- Command of both spoken and written English and Mandarin to facilitate effective communication and
- Able to operate independently in a dynamic, fast-paced environment.
Toa Payoh
Employer: DWS Group
Title: Senior AFC & Compliance Officer
Corporate Title: VP
Location: Singapore
Job Code: #LI-ZL1 #LI-03
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