Vice President, Legal & Regulatory (regulatory & Internal Compliance Equities)

Singapore, Singapore

Job Description


We are looking to hire an equities compliance professional to join our regulatory and compliance team based in Singapore (which is part of the firm\'s Legal and Regulatory Department).The candidate is expected to collaborate with colleagues in the legal and regulatory team and other internal partners (e.g. Portfolio Management, Treasury, Risk, Operations, and Technology).Responsibilities:

  • Provide regulatory compliance support for the firm\'s equity execution desk, portfolio risk and management group and investment groups with a focus on cash equities, ETFs, listed options and OTC equity derivatives and associated hedging strategies.
  • Developing and implementing policies, procedures and controls which successfully mitigate key risk factors for the trading lifecycle.
  • Working with legal colleagues and external counsel to manage relationships with regulators (e.g. MAS, SGX, SEC, and FCA).
  • Assist with the resolution of issues identified by other oversight functions (i.e., Risk or Internal Audit).
  • Advise on the firm\'s responsibilities on corporate actions involving its listed portfolio companies and statutory shareholding disclosures.
  • Proactive regulatory change management for impacted coverage areas through participation in business, industry and regulatory initiatives and trade groups.
  • Design and deliver applicable training for business unit personnel.
Requirements:
  • Degree holder from a related field, preferably with an outstanding academic record.
  • At least 7 years\' experience in a similar compliance and regulatory role at a financial institution, regulatory authority, broker-dealer or buy-side firm.
  • Strong overall product knowledge and regulatory experience within equities and equities derivatives (including ETFs and listed options).
  • Demonstrated experience with the implementation of trading and equity compliance projects, policies and programs.
  • Possesses working knowledge of financial regulations such as SFA, EMIR, MiFID and applicable SEC and CFTC rules.
  • Good understanding of regulations and investment monitoring requirements.
  • Possesses strong analytical skills, good working knowledge with data and able to think strategically.
  • Possesses strong communication skills and confidence to effectively engage multiple stakeholders.

Temasek

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Job Detail

  • Job Id
    JD1428160
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Singapore, Singapore
  • Education
    Not mentioned