Requisition ID: 218202
Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture.
Purpose
Contributes to the overall success of the Compliance function in Singapore, ensuring specific individual goals, plans, initiatives are executed / delivered in support of the team’s business strategies and objectives. Ensures all activities conducted are in compliance with governing regulations, internal policies and procedures.
The incumbent will support the Head of Compliance, Singapore and Head of APAC Product Compliance (HoC), and other members of the Compliance department in delivering the compliance program for the Global Banking and Markets & Treasury (GBM&T) businesses.
The incumbent will provide day-to-day compliance advisory to the GBM&T businesses and to participate in the corresponding compliance projects and initiatives involving the GBM&T businesses as part of the local or wider Compliance practice for the region.
Dimensions Good working knowledge of the regulatory obligations, business practices, policies and procedures relating to the activities of a wholesale bank. Strong verbal/written communication and interpersonal skills to deliver quality and robust compliance support to management and internal stakeholders. Ability and confidence to liaise with regulators and auditors to address all regulatory-related queries in order to uphold the Bank’s image and reputation. Self-motivated, confident and capable of working both independently and in a team environment. Strong analytical skills and a keen eye for detail to be able to identify and handle sensitive and confidential situations tactfully and professionally. Good organisational skills and ability to multi-task and prioritize to deliver on multiple projects and assignments at a high quality and within stringent timelines.
Education / Experience / Other Information A good degree in a finance or related discipline from a recognised university. At least 5 years of relevant compliance experience covering the global capital markets products and corporate and investment banking activities and their related compliance processes. Individuals with prior direct experience working in compliance advisory and/or related business control function or Individuals with experience working with a financial sector regulator will be considered favourably. Individuals with relevant financial sector certification (e.g. compliance diploma, CFA) will also be considered favourably.
Location(s): Singapore : Singapore : Singapore
Scotiabank is a leading bank in the Americas. Guided by our purpose: "for every future", we help our customers, their families and their communities achieve success through a broad range of advice, products and services, including personal and commercial banking, wealth management and private banking, corporate and investment banking, and capital markets.
At Scotiabank, we value the unique skills and experiences each individual brings to the Bank, and are committed to creating and maintaining an inclusive and accessible environment for everyone. If you require accommodation (including, but not limited to, an accessible interview site, alternate format documents, ASL Interpreter, or Assistive Technology) during the recruitment and selection process, please let our Recruitment team know. If you require technical assistance, please click here. Candidates must apply directly online to be considered for this role. We thank all applicants for their interest in a career at Scotiabank; however, only those candidates who are selected for an interview will be contacted.