Oversee and maintain the compliance, governance, and data protection framework of the REIT management business, driving effective implementation of controls and ensuring adherence to MAS CMS licence conditions, SGX Listing Rules, Securities and Futures Act requirements, Personal Data Protection Act obligations, and REIT governance standards.
Drive regulatory engagement and reporting obligations, ensuring accurate and timely submission of statutory filings, returns, and surveys; and serve as a contact person with the Monetary Authority of Singapore (MAS), Singapore Exchange (SGX), and other regulatory authorities to ensure effective resolution of regulatory queries and inspections.
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Review of compliance and governance related segments of the Annual Reports and Sustainability Reports, ensuring accuracy, transparency, and compliance with applicable corporate governance standards, SGX Listing Rules, and regulatory disclosure requirements.
Support the maintenance, effectiveness and continuous enhancement of the enterprise risk management and internal control frameworks.
Establish, strengthen, and maintain the Group’s compliance framework across all business units, embedding consistent standards and scalable controls to support the Group’s continued growth, including insider trading, AML / CFT, and whistleblowing.
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