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Interactive Brokers

Compliance Manager

Reposted 4 Days Ago
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In-Office
Singapore
Mid level
In-Office
Singapore
Mid level
The Compliance Manager will liaise with regulatory bodies, ensure compliance with laws, manage audits, and draft procedures. Requires strong analytical skills and experience in financial services regulations.
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Company Overview

Interactive Brokers Group, Inc. (Nasdaq: IBKR) is a global financial services company headquartered in Greenwich, CT, USA, with offices in over 15 countries. We have been at the forefront of financial innovation for over four decades, known for our cutting-edge technology and client commitment.

IBKR affiliates provide global electronic brokerage services around the clock on stocks, options, futures, currencies, bonds, and funds to clients in over 200 countries and territories. We serve individual investors and institutions, including financial advisors, hedge funds and introducing brokers. Our advanced technology, competitive pricing, and global market help our clients to make the most of their investments.

Barron's has recognized Interactive Brokers as the #1 online broker for six consecutive years. Join our dynamic, multi-national team and be a part of a company that simplifies and enhances financial opportunities using state-of-the-art technology.

Responsibilities

Interactive Brokers is looking to hire a Compliance Manager (Core Compliance) based in Singapore for the APAC region (Singapore, Australia, and Hong Kong). The position will focus on Singapore with some regional exposure, and report to the Head of Core Compliance (APAC). The main responsibilities for this role include:

  • Acting as the liaison person to interact with MAS and other regulatory bodies;
  • Researching, interpreting and advising the firm regarding compliance with laws, regulations and guidance applicable to brokers in Singapore;
  • Drafting and implementing policies and procedures to comply with MAS and exchange requirements (e.g., SGX)
  • Preparing written responses to regulatory enquiries
  • Managing relevant regulatory inspection and audit reviews, including developing and implementing the relevant remedial action plans to address any findings.
Required Qualifications and Skills:
  • Must be a self-starter with strong analytical skills;
  • Strong organizational skills with the ability to prioritize and work independently in a dynamic and fast-paced working environment;
  • Comfort with computers and technology, and understanding of how technology is applied to business and regulatory problems.
  • Excellent oral and written communication skills.
  • Ability to develop compliance solutions that satisfy relevant regulations while executing sound business judgment.
  • Ability to work in a small team environment and collaboratively.
  • Proven experience and track record at a financial services regulatory agency, exchange or licensed financial services firm;
  • Familiarity with the Singapore regulatory requirements;
  • A “can-do” attitude with a willingness to learn.
Company Benefits & Perks
  • Competitive Salary, annual performance-based bonus and stock grant
  • CPF Contributions
  • Excellent medical insurance, including dental, specialist and inpatient
  • Competitive package of Annual Leave
  • Daily lunch ordered in house with fully stocked kitchen
  • Modern offices with multi-monitor setups
  • Great work life balance
  • Unique opportunity to gain exposure to global financial products, markets and clientele
  • Opportunities for career progression and job scope expansion in a global company with growing local presence
  • Hybrid work arrangement role permitting

Top Skills

Compliance Management
Financial Markets
Mas Regulations
Regulatory Requirements
Sgx
Writing Policies

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