Senior Manager, Compliance
SAC CAPITAL PRIVATE LIMITED
Key Responsibilities:
Compliance & Regulatory
Oversee and manage the Firm’s compliance function across all business lines
Review and provide compliance inputs to front-line businesses or other departments’ policies and procedures
Draft and maintain compliance policies and procedures to address evolving business needs and compliance risks
Participate in new business initiatives including application of licenses and regulatory engagements
Keep abreast of regulatory developments and proactively draft or update and operationalise policies and procedures arising from the new developments
Act as a primary point of contact with the MAS on various matters, including but not limited to handling of periodic and ad-hoc regulatory reporting, handling of MAS surveys, misconduct reporting (non-finance related), submission of MAS online forms on appointment or cession of licensed representatives, directors and others
Act as a primary point of contact with the SGX on various compliance matters, including but not limited to handling of periodic and ad-hoc regulatory reporting, handling of SGX surveys, submission of Registered Professionals applications and cessations
Perform periodic regulatory reporting to China Securities Regulatory Commission (“CSRC”)
Handles annual compliance audit conducted by external auditors
Check and keep track of MAS circulars and FINTEL announcements and circulate to and advise the relevant stakeholders accordingly
Send out and keep track of declarations such as spousal declarations and annual declarations from employees and directors
Provide compliance trainings to new hires (includes interns) and ad hoc compliance trainings to all employees and directors on an ad hoc basis whenever there are changes to new regulations, procedures and etc.; source for relevant core CPD training hours for licensed representatives of the Firm
Maintain outsourcing register for the Firm and coordinates on the initial and periodic assessment of outsourced service providers
Act as Data Protection Officer of the Firm, update the Firm’s Data Protection Management Programme and Policy when necessary
Business Support
Perform/review client onboarding through screening platform; file a Suspicious Transaction Report (“STR”) with the Suspicious Transaction Reporting Officer (“STRO”) when the Firm encounters any suspicious activities
Review NDAs, engagement letters, placement agreements, underwriting agreements, placement and underwriting agreements, mandates and other agreements with third parties
Review of corporate finance lodgement, registration and submission documents to SGX (IPO and RTO)
Perform internal reviews of front-line business units’ work processes, consolidate findings and draft report for the Board and the Management
Advise the Management and business units on compliance with best practices and regulatory requirements, and risk mitigation strategies
Serve as a trusted compliance partner to senior stakeholders across multiple business units; work closely with various stakeholders and business units to resolve compliance issues
Coordinate and support any ad hoc projects (e.g. information technology) as assigned by the Management
Corporate Secretarial Support
Organise and coordinate Board meetings for SAC Group entities which include setting of Board agendas, preparation of some Board materials and Board minutes
Procure and compare the Firm’s insurance policies (e.g. Professional Indemnity Insurance and Cyber Insurance)
Draft and review directors resolutions in writings ("DRIWs") and shareholders resolutions in writings ("SRIWs") in relation to SAC Group entities; send out emails to obtain requisite approvals and coordinate on signatures from stakeholders
Maintain the Firm’s Delegation of Authorities (“DOA”) and dissemination to the Firm for updates
- Review and maintain the Terms of Reference ("TOR") for various internal committees and the Board
- Coordinate in other corporate actions of the Firm as assigned by the Management and/or the Board
Key Requirements:
Degree / Diploma in Law, Finance, Accountancy, Business, or equivalent
Good command of English (written and verbal)
Minimum 3–5 years of relevant experience in the investment banking or capital market industry
Prior exposure to corporate finance transactions (e.g. IPOs, RTOs, M&A) or Catalist sponsorship work is strongly preferred
Experience in compliance, audit, legal, or a front-office corporate finance role with compliance involvement will be considered
Familiarity with SGX listing rules, MAS licensing requirements, and capital markets regulations is highly advantageous
Able to work autonomously with sound judgment and minimal supervision
Strong understanding of or keen interest in corporate finance deal flows, sponsor obligations, and regulatory framework governing MAS licensed entities in Singapore
High level of integrity, with the confidence to voice opinions and escalate issues appropriately
Strong interpersonal and communication skills; ability to engage senior stakeholders and cross-functional teams
Team player and keen to assume additional responsibilities and participate in new initiatives