Compliance Advisory, AVP - Corporate and Investment Banking

The Company

A reputable Corporate & Investment Bank is expanding its Compliance team. With a long-standing history and proven track record in promoting career development, this would be an exciting move for candidates looking to be part of a organization that values employees' growth and excellence.

The Role

The Regulatory Compliance team provides the backbone for the business to conduct daily activities in accordance to internal and external regulations, this includes managing regulatory changes, assessing impact on the business and advising senior stakeholders on appropriate actions that need to be undertaken. A successful candidate is able to look at the big picture, anticpate risk areas and connect the dots in complex situations.

Requirements

  • A recognised degree in Legal, Business or any relevant degree
  • 4-7 years experience in Compliance and/or Legal
  • At least 2 years experience in an advisory role
  • A self-motivated and articulate team player

To comply with local laws, our Singapore office EA Licence No is: 17S8475.

Please note our advertisements use PQE/salary levels purely as a guide. However we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.

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