SENIOR COMPLIANCE PROFESSIONAL I ASSET MANAGEMENT I SINGAPORE
We are recruiting a senior compliance professional for a high-ownership, sole-contributor role at a growing asset management platform in Singapore.
ABOUT OUR CLIENT
A MAS-regulated fund management company backed by a global alternative asset manager. The firm is in active transition, moving from a retail-focused platform to an institutional-grade business serving Accredited Investors across Private Credit, Private Equity, and Alternatives.
WHAT'S ON OFFER
- Sole ownership of a compliance function at a firm at an inflection point, backed by a global alternative asset manager
- Broad remit spanning AI onboarding, fund regulatory compliance, risk governance, and global parent liaison
- High visibility, with direct engagement with senior management, the Board, and MAS
JOB OVERVIEW
- Full ownership of MAS compliance obligations under the SFA, FAA, and related notices
- Designing and running a scalable Accredited Investor onboarding framework (KYC, AML, suitability, PEP screening, source-of-wealth)
- Compliance oversight across Private Credit, PE, and Alternative Investment products
- Due diligence on external fund managers under an Open Architecture model
- Risk Management Framework ownership and Board-level reporting
- Direct MAS liaison including regulatory submissions and inspections
WHO WE'RE LOOKING FOR
- 8 to 15 years of compliance experience in fund management, asset management, or an EAM environment in Singapore
- Hands-on experience with individual Accredited Investor onboarding
- Strong working knowledge of SFA, FAA, and MAS AML/CFT requirements
- Prior experience as a sole compliance officer or in a lean, high-ownership team
- Commercially minded, with the ability to build frameworks that are both regulatory-sound and operationally practical
Interested or know someone who might be Reach out directly or apply below.