Permanent role with a well-established financial institution
Join the risk & compliance team in a regulated environment
About Our Client
This organisation is a regulated exchanges in Singapore offering centrally cleared futures across financial, commodity, precious metal, and digital-asset markets.
Job Description
Detect potential market misconduct and any activities that may compromise the company
Review, develop, and implement frameworks, policies, and procedures to strengthen trade surveillance and investigative capabilities
Carry out routine monitoring of market activities
Review and implement policies and procedures to monitor and strengthen internal control framework
Review and implement processes and procedures to enhance corporate governance framework
The Successful Applicant
Bachelor degree from relevant field
At-least 2 years of experience within market or trade surveillance
What's on Offer
The opportunity to work in a reputable financial services organisation and exposure to key aspects of risk and compliance in a regulated environment!
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