Svp/vp Derivatives Legal, Global Financial Markets, Group Legal & Compliance

Singapore, Singapore

Job Description


Business Function

Group Legal, Compliance & Secretariat ensures that the bank\'s interests are protected by zealously guarding and enhancing its reputation and capital. We also work to maintain a good standing with all our regulators, customers, and business partners. Because we believe that at the heart of business banking is to uphold the values of trust and integrity for all our stakeholders.

Responsibilities

To provide legal and regulatory support to the Fixed Income, Credit & Commodities (" FICC") and Equities businesses of the Global Financial Markets (" GFM") division in DBS Bank Group, with a focus on structured products in the Asian region (primarily in Singapore, Greater China, Taiwan, Korea, India and Indonesia).

Provide advisory and execution legal and compliance support to the FICC and Equities businesses in GFM, covering various asset classes, as well as supporting the sales teams for the different client segments:

  • Provide Sales and Trading with prompt, sound and consistent legal and regulatory advice in relation to (1) the structuring and sale of products (including funded and unfunded, OTC and cleared) in respect of all asset classes (FX, rates, commodities (including carbon), credit, equities, funds and crypto) and (2) sales practices.
  • To review and approve legal documents (including bank product and customer documentation) and to identify, advise on and manage legal risks associated with the operation of the business.
  • To prepare and update standard form documentation and structured product documentation (including the private product memorandum, termsheet, subscription agreement etc.) for use by the business together with related guidance notes and other advisory materials for new and existing products.
  • To work closely with the business to ensure the relevant legal and regulatory requirements are well understood by the business and are reflected and protected in the relevant documentation and internal procedures.
  • To recommend, supervise and manage external lawyers to ensure that high quality and focused advice is received at reasonable cost in a timely manner to appropriately protect bank\'s interests.
  • To provide general legal and compliance advice, guidance and solutions on legal and regulatory issues to the business.
  • Review new products and other business initiatives (e.g. new business ventures and new transaction structures) and consider the impact of relevant rules and regulations on the business and Legal & Compliance.
  • Provide responsive, sound, coherent and consistent legal advice on legal, regulatory and contractual issues to internal clients (i.e. front, middle and back offices of the business).
  • Establish, review and update internal rules, policies and guidelines to meet best practice regulatory and industry standards for the management of legal and documentary risks.
  • (For SVP) Provide guidance and mentorship to junior members of the GFM Legal and Compliance team.
  • Keep up-to-date on any regulatory changes and developments in Singapore and globally that have an impact on the business.
  • B e cognizant of compliance issues affecting the business and work together with Compliance colleagues to provide more holistic advice covering both legal and compliance aspects.
  • Maintain strong internal relationships, acting as a professional and value-adding partner with the business and support units.
Requirements
  • At least 7 - 10 years of post-qualification relevant experience with a financial institution or in private practice
  • Qualified lawyer of UK or Singapore
  • Communication skills with ability to clearly and diplomatically articulate issues, solutions and rationales.
  • Ability to think critically with good problem-solving skills; results-oriented to ensure sound implementation of controls and compliance processes/procedures.
  • Ability to analyse financial markets transactions and consider the application of relevant regulations and rules.
  • Team player who can work together with a varied group of legal and compliance professionals.
  • Expertise and experience with derivatives and/or structured products, either in-house or at a major law firm. Expertise and experience in respect of one or more asset classes (FX, rates, commodities, credit or equities) is required.
  • Strong awareness of regulations/laws (e.g. MAS Notices, Banking Act, Securities and Futures Act and Financial Advisers Act) in Singapore, regionally and globally. Comprehensive product knowledge together with good understanding of relevant financial services and investment banking activities.
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We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.

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Job Detail

  • Job Id
    JD1408676
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Singapore, Singapore
  • Education
    Not mentioned