VP Compliance - Control Room
- Employer
- Qontel Search Pte Ltd, EA Licence No: 22S0952
- Location
- Singapore, Singapore
- Salary
- Competitive
- Closing date
- Sep 9, 2022
View more
- Job Function
- Compliance/Regulatory
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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This is an exciting opportunity for motivated individuals seeking to advance their careers with a renowned bank in the financial services sector.
As a VP Compliance Officer, working in partnership with stakeholders and providing sound Compliance advice is a pivotal aspect of the role. This entails advising on insider trading and market abuse regulations, regulatory expectations on personal investment policy, conflicts of interest, and the chinese wall framework.
You will also undertake control implementation in the areas of trading restrictions, performing communication surveillance, and managing policy violations.
To qualify for the role, you should possess a degree in Law, Business, or Finance with relevant Control Room Compliance experience. You should have strong knowledge of financial products, securities trading in public markets, and/or investments in private markets. Your appreciation of the global regulatory landscape and ability to analyze complex deal structures and corporate structures is a plus. Strong interpersonal skills, drive, and being a strong team player are desirable traits.
Please reach out to helen@qontelsearch.com if this opportunity piques your interest. Your application will be treated with the strictest confidentiality.
License number: S22S0952
As a VP Compliance Officer, working in partnership with stakeholders and providing sound Compliance advice is a pivotal aspect of the role. This entails advising on insider trading and market abuse regulations, regulatory expectations on personal investment policy, conflicts of interest, and the chinese wall framework.
You will also undertake control implementation in the areas of trading restrictions, performing communication surveillance, and managing policy violations.
To qualify for the role, you should possess a degree in Law, Business, or Finance with relevant Control Room Compliance experience. You should have strong knowledge of financial products, securities trading in public markets, and/or investments in private markets. Your appreciation of the global regulatory landscape and ability to analyze complex deal structures and corporate structures is a plus. Strong interpersonal skills, drive, and being a strong team player are desirable traits.
Please reach out to helen@qontelsearch.com if this opportunity piques your interest. Your application will be treated with the strictest confidentiality.
License number: S22S0952
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