Financial Crime Compliance

Financial Crime Compliance Manager (Associate Director/VP level)

Responsibilities

  • Responsible for financial crime function for Singapore’s branch, covering all business lines in Singapore.
  • Acts as the MLRO and managing AML/CFT & for S’pore’s entities and monitoring of all business relationships and client transactions.
  • Examines bank’s financial crime policies (e.g, AML/CFT policy, Anti-Bribery and Corruption policy and Sanctions policy), and make any necessary amendments or changes for regulated business activities in Singapore.
  • Reporting to Head of South East Asia Compliance & the Regional Head of Financial Crime Compliance
  • Serving as the primary contact for business and legal entities operating in Singapore for financial crime matters.
  • Monitor developments in the AML sphere and ensure that the Bank adheres to regulations
  • Review, monitoring, and submitting Suspicious Transaction Reports (STRs) to regulatory Financial Intelligence Unit and liaise with regulatory bodies
  • Preparing planning and reporting documents regarding the AML/CFT Program for senior management.
  • Developing, Identifying and conducting AML/CFT training program for relevant stakeholders

Requirements

  • Min 10 years of relevant AML/CFT/FCC experience
  • Familiarity with Singapore AML/CFT and sanctions regulations
  • Experience managing preparation of policy and procedure documents, investigative reports, and Suspicious Transaction Reports.
  • Familiar with Capital Markets Services & Exempt Financial Adviser licenses.

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