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Compliance Officer/ Manager (Fund Administration, Trust Administration and Regulatory Advisory)

  • On-site, Hybrid
    • Singapore, Singapore

Job description

  • Act as the Compliance Officer for fund administration operations, liaising with MAS and other regulators on audits, licensing, and inspections.

  • Provide regulatory guidance to management and staff, ensuring adherence to fund-related legislation, regulatory notices, and internal policies.

  • Develop, implement, and maintain robust compliance frameworks—including policies, procedures, controls, training, and monitoring systems.

  • Lead or support AML/CFT functions: conduct CDD/EDD reviews, manage ongoing transaction monitoring, maintain risk registers, and prepare STRs.

  • Support internal and external compliance audits or inspections; coordinate remediation plans and track resolution.

  • Keep abreast of evolving fund administration regulations and embed changes into practice and training.

  • Deliver compliance training program across the team to enhance awareness and effectiveness.

  • Prepare compliance reporting for senior management or governance committees.

  • Perform any additional duties aligned with the scope of compliance and fund administration functions.

Job requirements

Ideal experiences and competencies:

  • Bachelor’s degree in Law, Business, Finance, Accounting, or a related discipline.

  • Minimum of 3 years’ compliance experience in the financial services or fund administration sector.

  • Strong exposure to Private Equity (PE), Hedge Funds, and Trust structures, with a solid understanding of multiple asset classes.

  • Familiarity with offshore jurisdictions is a significant advantage

  • In-depth understanding of Monetary Authority of Singapore (MAS) regulations, including AML/CFT frameworks.

  • Proven expertise in:

    • Customer Due Diligence (CDD) and Enhanced Due Diligence (EDD)

    • Transaction monitoring

    • Suspicious transaction reporting

    • Regulatory reporting

  • Strong communication skills, both written and verbal, with the ability to engage confidently with regulators, clients, auditors, and internal stakeholders.

  • Highly proactive and independent, with the ability to manage multiple priorities in a fast-paced environment.

  • Professional certifications such as CAMS, ICA, or equivalent are highly desirable.

Our offer:

  • Proper financial compensation based on your qualifications and experience

  • Opportunity to make a real impact on our team and business

  • Ability to work in an environment that supports personal growth and a balanced professional and personal life

  • Challenging development opportunities at Bolder Group and affiliated.

General Information:

  • Work Setup: 4 days onsite and 1 day work from home

  • Location: 80 Robinson Road #19-01A Singapore

  • Workdays: Weekday work with weekends off (Mondays to Fridays)

If you're interested in learning more about our team, please visit our page:

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