Provide legal support and regulatory activities globally, including but not limited to:
operating exchanges and clearing houses for securities and derivatives;
operating central securities depository;
operating a fixed income, currencies and commodities business;
providing and calculating market indices; and operating wholesale electricity market.
Further commercial interests, while ensuring that legal, reputational and other relevant risks are mitigated. Support compliance frameworks and processes.
Keep abreast of, and advise on, legal and regulatory developments both in Singapore and foreign jurisdictions.
Review, draft and negotiate commercial contracts and regulatory instruments, including service level agreements, licensing agreements, rulebooks and vendor agreements.
Engage effectively with internal and external stakeholders and service providers. These include senior management, market participants, regulators and external counsel.
Requirement
Bachelor\xe2\x80\x99s degree in law with at least 7 years\xe2\x80\x99 experience.
In-depth experience in corporate and commercial matters at a highly-rated law firm or in a large in-house setting. Compliance experience would be a plus.
Preference for experience with supporting stakeholders in the financial services industry, including familiarity with local and foreign regulatory frameworks and liaison with regulators.
Strong organisational skills and the ability to oversee multiple projects.
Excellent problem-solving and analytical skills, coupled with commercial sensibility.
Strong interpersonal skills and the ability to communicate effectively at all levels of an organisation.
Interested candidates who wish to apply for the advertised position, please click on "Apply Now". We regret that only shortlisted candidates will be notified.