Executive, Risk & Compliance - #1108594
Ambition Group Singapore

We are seeking an experienced Executive, Risk & Compliance to ensure strong AML/CFT compliance, effective risk management, and regulatory adherence in line with MAS regulations and internal policies. This role involves conducting due diligence, risk assessments, transaction monitoring, and acting as a key liaison for audits and regulatory matters, including supporting data extraction and periodic regulatory reporting.
Key Responsibilities
1. AML/CFT Compliance
Implement and maintain AML/CFT policies, procedures, and controls in compliance with MAS Notices (e.g., PSN01) and industry best practices.
Conduct Customer Due Diligence (CDD), Enhanced Due Diligence (EDD), and ongoing transaction monitoring.
Investigate suspicious transactions and prepare Suspicious Transaction Reports (STRs) for submission to the Head of Risk & Compliance.
Support the implementation of AML screening tools and risk-based AML methodologies.
Serve as AML Officer, assisting the Money Laundering Reporting Officer (MLRO) in regulatory filings, audits, and stakeholder communications.
Liaise with regulators (MAS), auditors, and internal teams on AML/CFT-related queries and inspections.
2. Risk Management
Support enterprise-wide risk assessments, maintaining and updating the company’s risk register.
Track, escalate, and remediate risk incidents, ensuring timely resolution and reporting.
Assist in Risk & Compliance projects and initiatives, and execute daily BAU tasks including policy and procedure maintenance.
Conduct routine checks and monitoring of Risk & Compliance systems, ensuring timely responses for risk operations.
3. Regulatory Compliance
Monitor regulatory developments from MAS and other relevant bodies.
Conduct research and analysis on regulatory changes.
Support internal audits, regulatory inspections, and compliance reporting (e.g., MAS returns, licensing renewals).
Assist with regulatory filings, including license applications and ad-hoc submissions.
4. Training
Support delivery of training and awareness programs for staff on AML/CFT, risk awareness, and other regulatory obligations.
Assist in conducting risk assessments and compliance workshops.
Requirements
Minimum 3 years of experience in AML compliance, risk management, or regulatory compliance, preferably within a MAS-regulated financial institution.
Hands-on experience with CDD/EDD, STR reporting, AML transaction monitoring, MAS regulations (e.g., PSN01, AML/CFT Notices), and risk assessment frameworks (e.g., ISO 31000, COSO).
Strong understanding of auditing standards, guidelines, procedures, and professional ethics.
Effective written and verbal communication skills.
Familiarity with AML tools such as Refinitiv World-Check, Oracle, or ComplyAdvantage.
Professional certifications (e.g., CAMS, CRISC, CISA, CISSP) are advantageous.
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