This positions sits within the Wealth Management business of a Global Bank, with a strong focus on Regulatory Change relating to Reporting and other Processes and Systems.
The successful candidate would need to have strong Change experience and track record in working closely with stakeholders both internally and externally, and have experience working in the Private Banking / Wealth Management space.
Based in Singapore, you will run project management of Regulatory Changes involving Operations including Regulatory Transaction Reporting.
You will need to be highly familiar with MAS/HKMA/BaFin/US regulatory requirements and analyse and assess the applicability of those requirements for operations delivery with the review of end to end processes.
As the Lead, you will prepare BRD and coordinate with Stakeholders to ensure all new regulations / changes to existing regulations are identified and properly implemented in the bank.
You will also participate in methodology reviews and implement new methodological changes, and represent the business in IT system enhancement projects and process improvement projects.
To qualify, individuals must possess:
- Bachelor’s Degree
- Minimum 8-10 years of relevant experience
- MUST have worked in Wealth Management Operations
- MUST be familiar with MAS/HKMA/BaFin/US Regulatory Requirements
- Subject Matter Expert in Regulatory and Operations Processes
- Excellent stakeholder management
EA License No: 16S8066 | Registration No. R1108941