- Singapore
Working Location
Job Description
Responsibilities
Job Description
As a key member of the Compliance Function you will provide strategic compliance advisory and assist with SingPost’s regulatory compliance framework and data privacy governance.Regulatory Compliance & Monetary Authority of Singapore (MAS) Payment Services Act Major Payment Institution License Management
frameworks across all functions.
program, including anti-money laundering (AML), countering the financing of terrorism
(CFT), and Sanctions screening/compliance regimes in accordance with MAS
Notices (e.g., PSN01/PSN02).
Anti-Bribery and Corruption framework to ensure strict adherence to the Prevention
of Corruption Act and relevant corporate governance standards.
investigations, and prepare comprehensive management reports and regulatory inputs
for the Head of Compliance.
monitoring alerts and reports. Ensure immediate identification, analysis, and flagging of
anomalous or suspicious transaction patterns.
compliance matters, manage the Suspicious Transaction Reporting (STR) process,
and prepare comprehensive management reports and regulatory inputs for the Head of
Compliance.
Data Privacy Governance
end-to-end IMDA Data Protection Trustmark (DPTM) certification process to ensure
SingPost successfully achieves and maintains.
Singapore Personal Data Protection Act (PDPA) and relevant data protection best
practices.
controls to proactively close any identified gaps.
Business Advisory & Projects
launches to ensure regulatory requirements, financial crime risks, and privacy obligations
are addressed at the earliest stage.
to internally to Management, business teams and other internal stakeholders, and
management.
Compliance Culture & Training
comprehensive, interactive compliance e-learning materials and modules (e.g.,
covering AML, Sanctions, ABC, and Data Privacy). Track completion rates and test
effectiveness across the organization.
briefings alongside the digital curriculum. Cultivate a proactive compliance culture by
drafting and circulating internal compliance newsletters.
team members and internal stakeholders.
Requirements
monitoring, and safeguarding requirements.
ii) Financial Crime Framework: Strong expertise in managing corporate governance, Anti-Bribery & Corruption (ABC) policies (Prevention of Corruption Act), and Sanctions screening/compliance regimes.
III) Data Privacy & DPTM: Robust knowledge of the Personal Data Protection Act (PDPA).
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