Job Responsibilities:
- Oversee communication with external and internal audit in collaboration with respective departments.
- Provide guidance to staff on managing request from auditors.
- Plan for any mitigation controls with relevant departments and track the implementation to closure for reporting to management.
- Define and review internal compliance policy and procedure to incorporate industry best practices to strengthen governance for corporate risks.
- Manage enterprise risks and develop risk management strategies to support multiple groups of risk owners.
- Provide an independent oversight and propose solutions to address problem/inadequate areas.
- Spearhead and drive adoption of policy and procedure by departments while managing stakeholders from diverse backgrounds.
- Lead contract negotiations and provide insights for complex contracts crafting to achieve positive outcomes for all contracting parties.
- Ensure Third Party Risk Management Policies are being managed and executed.
- Ensure all required trainings and due diligence checks are conducted and completed within schedule.
- Evaluate and examine whether the activities performed by Business Units are effective, appropriate and compliant with key regulations.
- Lead compliance investigations and ensure that it is conducted as per the approved processes.
- Plan Annual System Risk Assessments with respective System Managers and follow up on any identified risks for mitigation and closure.
- Keep abreast of regulatory changes/updates and perform gap analysis for alignment of entity policy and procedure as needed.
- Review and assess breaches flagged to compliance.
- Manage and oversee the day-to-day operations of the compliance team and provide guidance where necessary.
Job Requirements:
- Bachelor’s degree in law, Business Administration, Finance, Accounting, Information Systems or related field.
- Min. 5-8 years of relevant work experience in compliance, internal control, risk management or internal audit in a bank, financial institution or audit firm.
- Preferably with professional certifications such as CISA, CISM, CISSP, CIPP, CBCI, CRM, ICA, CA).
- Possess in-depth knowledge of Singapore laws, regulations (e.g., MAS Notices and Guidelines including but not limited to TRM, Guidelines on Outsourcing Risk Management/Third Party Risk Management).
- Familiar with legal, financial, operational aspects of contracts.
- Preferably with working experience in financial services, IT industry related to system development and integration.
- Experience in IT audit experience is an advantage.
- Excellent technical writing and documentation skills.
- Advanced skills in using Microsoft Office products.
- Good appreciation for risk related subjects.
- Strong communication, interpersonal and presentation skills.
- Possess excellent analytical and negotiation skills, attention to detail, and the ability to interpret complex regulations.
- Experience in operating and maintaining Crisis Notification System.
- Effective communication and management of stakeholders.
- High-motivated and self-started team player can work proactively with minimum supervision.
- High level of integrity and takes accountability over work.
- Excellent time management skills, ability to prioritize workload and to work on strict reporting deadlines.
To apply, please visit www.gmprecruit.com and search for Job Reference: 24783
To learn more about this opportunity, please contact Yi Fang at yifang.law@gmprecruit.com
We regret that only shortlisted candidates will be notified.
GMP Technologies (S) Pte Ltd | EA License: 11C3793 | EA Personnel: Law Yi Fang | Registration No: R1113115