Salary: Up to SGD 200K + Bonus
Overview
Our client, a leading financial institution with a strong global business, is seeking a seasoned Regulatory Compliance Director to oversee compliance governance, regulatory engagement, and advisory across their operations. This is a senior leadership role suitable for candidates from insurance or banking with strong regulatory experience.
Key Responsibilities
- Lead the regulatory compliance framework, ensuring adherence to MAS, IA, and other relevant regulatory requirements.
- Provide compliance advisory for new products, distribution initiatives, outsourcing arrangements, and strategic business changes.
- Manage regulatory inspections, thematic reviews, and handle all interactions with regulators.
- Oversee compliance policies, manuals, and ensure effective implementation across the business.
- Identify emerging regulatory risks and drive timely remediation plans.
- Partner with senior management to strengthen compliance culture and risk awareness.
- Lead and mentor a small compliance team, ensuring strong capability and career development.
Requirements
- 10–15 years of experience in regulatory compliance, risk, or related functions.
- Background from insurance or banking
- Strong understanding of MAS regulations, insurance guidelines, and financial services compliance standards.
- Proven experience handling regulatory engagements and driving compliance strategy.
- Strong communication, influence, and stakeholder management skills.
- Ability to lead independently, operate in a fast-paced environment, and provide practical, risk-based advice.
Benefits
- Salary up to SGD 200K + attractive bonus
- Hybrid working / flexibility depending on business needs
- High autonomy and direct exposure to senior leadership
- Opportunity to shape compliance strategy in a growing business
Company Reg No.: 201131609D | License No.: 24S2411 | Reg No: R22109060 | JL

