AVP, Regulatory Reporting & Investment Compliance
- Employer
- GIC Private Limited
- Location
- Singapore, Singapore
- Salary
- Competitive
- Closing date
- Jul 15, 2022
View more
- Job Function
- Operations
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Investment Services Public Markets
Investment Services Public Markets (ISPM) is an integrated team that leverages data and emerging technology to provide investment services for public market investment activities strategically and tactically. The team is responsible for business management functions for all public market investment strategies, as well as GIC's global execution, trade and collateral operations, asset servicing, investment monitoring, market data management, network management and custody control. The coverage extends across a spectrum of products such as equities, bonds, money market, foreign exchange, futures, collateralized securities and other derivatives.
We are currently looking for an Assistant Vice President to enhance our Regulatory Reporting & Investment Compliance capabilities. The Regulatory Reporting & Investment Compliance (RRIC) team specializes in researching, managing and implementing response to all regulatory provisions that affect the firm's investments with internal and external advisors, focusing on regulatory reporting to applicable regulatory bodies globally. Responsibilities include reviewing new products, markets, reputation analysis of all product lines as regulations evolved, as well as being the resident expert on regulatory implementation. The group also monitors investment against restrictions / limits in all relevant jurisdictions arising from the investment activities of the public and private markets.
Requirements
Requirements
Investment Services Public Markets (ISPM) is an integrated team that leverages data and emerging technology to provide investment services for public market investment activities strategically and tactically. The team is responsible for business management functions for all public market investment strategies, as well as GIC's global execution, trade and collateral operations, asset servicing, investment monitoring, market data management, network management and custody control. The coverage extends across a spectrum of products such as equities, bonds, money market, foreign exchange, futures, collateralized securities and other derivatives.
We are currently looking for an Assistant Vice President to enhance our Regulatory Reporting & Investment Compliance capabilities. The Regulatory Reporting & Investment Compliance (RRIC) team specializes in researching, managing and implementing response to all regulatory provisions that affect the firm's investments with internal and external advisors, focusing on regulatory reporting to applicable regulatory bodies globally. Responsibilities include reviewing new products, markets, reputation analysis of all product lines as regulations evolved, as well as being the resident expert on regulatory implementation. The group also monitors investment against restrictions / limits in all relevant jurisdictions arising from the investment activities of the public and private markets.
Requirements
- Be part of the pre-trade compliance function, which involves the review, testing and implementation of compliance rules across trade execution and compliance platforms, to ensure that orders and trades raised comply to regulatory, client and risk frameworks.
- Be involved in the deal support function and be able to articulate the implication and application of global regulations and related rules on public and private equity deal structures to Deal teams.
- Demonstrate sound understanding and deep analysis when conveying the impact of new and/or existing regulations to management and relevant business stakeholders, covering the proposed implementation and response to the regulations.
- Keep abreast of regulatory developments and industry best practices and inform the relevant business units of applicable requirements.
- Become part of a strategic solution for process and control modifications within the group and across other relevant business units.
- Be able to effectively represent RRIC in applying a regulatory compliance lens to new products, markets and business assessments, as well as change management activities.
- Proactive and persistent in engaging the wider team and subject matter experts, with good stakeholder management.
Requirements
- Bachelor's degree in either Accounting/Finance, Business, Legal or a similar field.
- At least 4-5 years of experience within Regulatory Compliance and Investment Monitoring function.
- Well versed in all financial products across all asset classes would be advantageous, but minimally with equity products.
- Good understanding of regulations and investment monitoring requirements.
- Possesses strong analytical skills, good working knowledge with data and able to think strategically.
- Possesses strong communication skills and confidence to effectively engage multiple stakeholders.
- Experience with establishing and meeting critical deadlines, managing multiple projects/deals concurrently as well as tracking and driving execution.
- Naturally inquisitive, curious and resourceful, while exhibiting drive towards achieving strategic outcomes for the team.
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