About the role
One-year temporary contract managing compliance for REIT Managers within a Singapore business unit. The role focuses on regulatory oversight, risk-based monitoring, stakeholder engagement, and training to ensure adherence to evolving regulations and internal policies.
Real Estate InvestmentOnsite
Key Responsibilities
- Provide guidance and support to the business unit(s) on group policies and procedures and compliance monitoring activities and initiatives
- Liaise and interact with external stakeholders (e.g., auditors or regulators) on regulatory compliance matters
- Implement risk-based compliance monitoring and testing program for licensed REIT Managers and proactively identify current regulatory gaps / compliance weaknesses and propose rectification measures
- Monitor regulatory developments, support assessment of the implications and implementation of new or changes in regulations and compliance policies, as required to address, manage and mitigate of such changes, in a practical and effective manner
- Oversee the administration and operation of existing compliance policies and procedures and development, implementation, review and revision of compliance related policies and procedures
- Participate in ad hoc assignments and projects as required
Requirements
- Experience in compliance oversight within a financial or regulated entity.
- Knowledge of group policies and procedures.
- Ability to conduct compliance training for staff.
- Proactive in identifying and rectifying regulatory gaps.