About the Company
A growing investment firm in Singapore with regional exposure, serving private investors and managing a range of investment and business activities.
Key Scope
Oversee legal and compliance matters across the business.
Advise management on transactions, contracts and regulatory matters.
Develop and maintain internal policies, controls and compliance processes.
Manage regulatory filings and liaison with external advisers.
Identify and manage legal, regulatory and operational risks.
Requirements
Qualified lawyer with relevant Singapore experience.
Min 5 years in financial services, investments, funds or a related sector.
Strong understanding of regulatory and corporate matters.
Commercially minded with good stakeholder management skills.
Able to work independently in a lean, fast-paced environment.
EA License No. 23C1875
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