Coordinate with Compliance, Operations, Finance, IT, and other departments to assess regulatory and operational feasibility for new products.
Ensure regulatory compliance by working with Compliance, Legal, and Internal Audit teams.
Prepare product documentation, including risk and AML/CFT assessments, specifications, and procedures for new launches and periodic reviews.
Engage and liaise with external partners for collaborations and conduct due diligence and AML/CFT checks.
Oversee the full product lifecycle--from selection, due diligence, risk assessment, committee approvals to ongoing monitoring--across investment products (e.g. funds, bonds, equities, ETFs, structured notes).
Manage referral partnerships (e.g. insurance, trust, family office services).
Support Relationship Managers (RMs) in executing client instructions and placing orders with counterparties.
Maintain and update product documentation and operational processes.
Perform other duties as assigned by the Head of Department.
Requirements
Bachelor's degree or above.
MAS-required CACS certification for Private Banking Product Managers.
Minimum 5 years of experience in product management (e.g. investments, lending, wealth planning).
At least 3 years of trading/dealing experience across products like bonds, equities, ETFs, and structured notes.
Familiarity with system development and operational processes.
Strong understanding of AML and compliance requirements.
Highly motivated, fast learner, and a strong team player.
Strong organizational skills with attention to detail and ability to multitask.
Effective communicator with strong interpersonal and negotiation skills.
23C1935
R1105492
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