A prominent financial services provider driving regional market growth.
Deliver robust oversight and support for market conduct, distribution channels, and compliance risk management.
Identify and evaluate emerging risks, control deficiencies, and the operational impact of regulatory updates.
Contribute to comprehensive risk evaluations, focused thematic assessments, and the ongoing supervision of representative practices.
Analyze customer grievances, operational incidents, and investigation results to pinpoint root causes, measure control efficacy, and implement corrective measures.
Assist in the governance of external vendors and third-party partnerships by tracking core obligations, escalating concerns, and verifying remediation progress.
Collaborate with diverse internal teams to spearhead compliance assessments, resolve operational bottlenecks, execute project milestones, and ensure swift closure of open issues.
Execute specialized strategic initiatives and ad hoc risk or compliance projects under the guidance of the department head.
Proven expertise in managing distribution compliance, sales conduct oversight, or regulatory risk within the financial sector.
Strong analytical skills to dissect incidents, uncover root causes, and design effective risk mitigation strategies.
Demonstrated experience monitoring third-party vendors and outsourcing risk frameworks.
Excellent communication and stakeholder management skills to influence cross-functional teams and drive project resolution.
Agility to adapt to evolving regulatory landscapes and successfully handle ad hoc strategic compliance mandates.
To apply online please use the 'apply' function.(EA: 94C3609/ R24124496)
Copyright © 2026 Grabjobs Pte.Ltd. All Rights Reserved.