SVP, Control Room
تفاصيل الوظيفة
Job Function: Legal & Compliance Department Job Type: Permanent GIC is one of the world’s largest sovereign wealth funds. With over 2,000 employees across 11 locations around the world, we invest in more than 40 countries globally across asset classes and businesses. Working at GIC gives you exposure to an extraordinary network of the world’s industry leaders. As a leading global long-term investor, we work at the Point of Impact for Singapore’s financial future, and the communities we invest in worldwide. Legal and Compliance Department We govern, structure, negotiate and execute the largest and most complex deals globally, across all asset classes. Compliance You will gate-keep and escalate material regulatory, compliance, reputational risks and incidents to the GIC Board and senior management. You will help to monitor the constantly evolving regulatory landscape to advise our stakeholders of the potential implications and to implement the requisite controls. You will also promote and reinforce staff awareness of the applicable regulatory and compliance policies and procedures. What impact can you make in this role? You will be part of a team that manages the legal, regulatory, compliance, and reputational risks of GIC. We are looking for a highly motivated, high-caliber candidate to lead our Control Room team as Senior Vice President. What will you do as an SVP, Control Room?
- Lead the strategic implementation and ongoing enhancement of GIC’s Chinese Wall Compliance Programme, Expert Networks Policy, Research & Alternative Data Providers Policy, and Personal Investments Policy.
- Advise on complex transactions and applicable global laws and regulations on insider trading and market abuse.
- Be accountable for all aspects of the daily operations of GIC’s Control Room, and be prepared to be hands-on, where required.
- Lead our Control Room’s efforts to enhance our existing systems, controls, and processes to ensure that they remain best in class, and design and lead the strategic implementation of projects to leverage technology for enhancing the effectiveness of our policies and streamlining controls and processes.
- Monitor and identify changes in GIC’s investment/trading and operational activities through effective and ongoing engagement of internal stakeholders and global regulatory developments and enforcement trends that warrant an update to existing policies or the development of new controls.
- Respond to regulatory inquiries, which includes working with internal stakeholders and external legal counsel to prepare such responses.
- Conduct periodic policy and process reviews and consultation with internal stakeholders, and present proposed policy changes to GIC’s Group Executive Committee and/or Group Risk Committee.
- Design and lead the implementation of an effective training program to educate stakeholders on Compliance matters.
- Review and advise on other general compliance policies, which includes conflicts of interest, gifts & entertainment and external personal appointments/activities.
- Conduct Compliance Risk Assessments, and implement additional Compliance processes, where required.
- Analyze and report management information and key Compliance risk metrics, and identify areas for improvement to existing policies, processes, and controls to address emerging regulatory and compliance risks.
- 16 to 20 years of relevant working experience in the financial services industry, preferably in a Control Room function, or with a securities exchange or securities regulator.
- Possess leadership qualities and managerial experience in leading Compliance teams.
- Strong interest in and awareness of the global regulatory and enforcement landscape and an understanding of securities laws and regulations.
- Strong understanding of information barrier/control and conflicts of interest issues.
- Possess strong interpersonal skills to collaborate effectively with stakeholders and advise/influence senior stakeholders or management, and possess the confidence to uphold Compliance’s position under pressure.
- Good knowledge about financial markets and experience in at least one or more asset classes such as Equities, Fixed Income, Derivatives, Commodities, and FX.
- Attention to detail and able to manage large data sets and detect patterns/inconsistencies.
- Strong analytical, problem-solving, and investigative skills.
- Ability to multitask, track and drive the execution of multiple compliance reviews and projects at the same time, and meet critical deadlines.
- Experience in driving the strategic implementation of and enhancements to Compliance systems will be preferred.
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