Manager - Compliance & Risk Management

  • TBD
  • Singapore Singapore Singapore SG
  • Permanent, Full time
  • Hanwha Asset Management Pte. Ltd.
  • 10 Sep 18 2018-09-10

Manager - Compliance & Risk Management

About Hanwha Asset Management

Hanwha Asset Management is Korea’s leading asset management company with assets of around US $80 billion, and  with our clients that include Korea’s largest pension funds, institutions, governments, and individuals. Through our strong partnerships with financial institutions in major global markets, we continue to deepen our expertise in investing overseas such as China, Japan, Singapore, United States and Eurozone. Information about Hanwha Asset Management is available at http://eng.hanwhafund.co.kr/web/main/main.jsp

 

Position

Our Singapore office has an opening for a Manager – Compliance and Risk Management to support to the office.

 

Requirements for the role

  • A relevant Bachelor’s degree.
  • At least 7 years of relevant Compliance and Risk Management experience in asset management, banks and/or big public accounting firms. Familiarity with operations and regulations in asset management is a must.
  • Experience in dealing with regulators such as MAS and FSS, knowledge of other ASEAN jurisdictions’ regulation will be an advantage.
  • Familiar with operational and investment risk management such as technology and financial risk assessment (BCP, TRM, AML, CFT, etc.).
  • Relevant working experience in management and operation.
  • Strong ability to work autonomously and within multi-functional teams, methodical and diligent with outstanding planning abilities.
  • Analytical skills and a detail-oriented, as well as possessing strong interpersonal skills, negotiation, organizational and communication skills.

 

Responsibilities

  • Review and evaluate compliance and risk management issues/concerns within or outside the organization.
  • Develop, maintain and revises policies and procedures for the all compliance and risk management programs.
  • Implement policies and procedures concerning regulations.
  • Monitor and oversee all compliance and risk management activities in the firm.
  • Ensure compliance of the company’s policies and procedures to prevent any potential regulatory violations.
  • Handle all internal and external compliance audits and risk management assessments and respond to all regulatory requests and related issues.
  • Preparing relevant reports to senior management.