About this role
Compliance Officer Location:Singapore Office Company:ACG Management Pte. Ltd. About Us ACG Management Pte. Ltd. is a Singapore-based investment management firm. Our firm employs fundamental investment approaches, concentrating on mid to small-cap names and maintaining a high volume of positions across various sectors. The Compliance Officer will be responsible for overseeing and managing the regulatory compliance framework for the Fund Manager. You will ensure that the firm, its representatives, and its funds operate in strict adherence to the Monetary Authority of Singapore (MAS) regulations, focusing on the Securities and Futures Act (SFA) and Anti-Money Laundering (AML) standards. 1. Regulatory Compliance & MAS Liaison 2. Investor Onboarding & KYC/AML 3. Counterparty & Trading Compliance 4. Risk Framework Compliance 5. Fund Documentation & Contract Review 6. Internal Controls & Ethics Requirements Experience: minimum 3 years compliance in financial industry in Singapore. Core Skills: Strong understanding of regulation and deal with MAS reporting. Industry Knowledge: Experience working at asset management firm will be preferable. Market Knowledge: Familiarity with equities markets and trading practices is advantageous Personal Qualities: Meticulous, dependable, and detail-oriented with strong analytical skills Adaptability: Flexible mindset with willingness to support broader tasks. Technical Skills (Good to Have): Proficiency in Excel, Bloomberg terminal experience, and quantitative analysis skills Why Join Us ✅ Join a hedge fund with a strong track record and disciplined investment processes ✅ Access to institutional-quality trading/operation infrastructure and technology platforms ✅ Collaborative, supportive team environment that invests in your professional development
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