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Global Markets Compliance Officer

Global Markets Compliance Officer

hudson talent solutions
12-14 Years
Early Applicant
  • Posted a day ago
  • Be among the first 10 applicants

Job Description

Our client is a leading global markets and commodities bank with a unique dual heritage, headquartered in Europe with several overseas branches. Specialising in commodities, fixed income, currencies and emerging markets, the bank serves a global institutional client base from a lean, close-knit platform.

The Company

  • Global markets and commodities bank with core business segments: Commodities (base metals, precious metals, energy) and Fixed Income, Currencies & Equities (FX, EM sovereign bonds, structured finance and DCM)
  • Compact Singapore office with Asia Compliance team of 4 (including this hire), working closely with Group Compliance in HQ
  • The Singapore function is focused on value-add advisory and assurance work, with the main compliance engine centralised in London
  • Hybrid working (4 days WFO with flexibility; 4–5 days expected for the first 3–6 months)
  • Minimal night calls; occasional travel to Shanghai (once per year)

Responsibilities

  • Act as the primary Compliance adviser and regulatory SME for the Asia Fixed Income & Currencies (FIC) team, with secondary coverage of Commodities (metals and energy)
  • Provide real-time, pre-trade regulatory and sanctions judgement at the point of execution during Asian hours, supporting pricing, counterparty selection and risk decisions
  • Lead Compliance engagement on new products, business initiatives and significant transactions, including Asia FIC build-out, RMB/EM/G10 FX growth and commodities-related developments
  • Support the business in designing and operating effective first-line controls and risk management practices
  • Lead interpretation and desk-level implementation of regulatory change (best execution, market abuse, trade reporting)
  • Perform routine over-the-desk monitoring of desk conduct, trading activity and business controls, identifying and escalating conduct, regulatory and financial crime concerns
  • Act as the Asia-hours first point of response for compliance and sanctions queries, and escalation conduit into London's centralised surveillance and control-room functions
  • Oversee representative licensing, RNF and related MAS notification processes
  • Deliver desk-specific compliance training for FIC and Commodities
  • Support regulatory inspections, thematic reviews and examinations as the primary Compliance SME for desk-related matters

Requirements

  • Minimum 12 years experience in regulatory compliance within a banking environment (IB or Global Markets focus essential)
  • Strong understanding of commodities trading and investment banking products and the associated regulatory frameworks
  • Technically strong with the ability to work independently as a senior individual contributor
  • Relevant degree required; a legal background would be an added advantage
  • Familiarity with internal or external audit disciplines a strong advantage
  • Candidates from big banking backgrounds well suited; a commodities background is ideal but not essential — the main focus is commodities trading advisory work, and the bank is open to candidates who want to learn beyond FIC advisory
  • Mandarin a plus for communicating with the Shanghai office
  • Resilient, detail-oriented and comfortable navigating complexity and ambiguity

More Info

Key Skills

Sanctions judgement

Thematic reviews

Market abuse

Regulatory frameworks

Regulatory inspections

Investment banking products

Trade reporting

Commodities trading

Audit disciplines

Financial crime concerns

First-line controls

Examinations

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12-14 yrs
Singapore
Skills:
investment banking productscommodities tradingRegulatory Complianceregulatory frameworksaudit disciplines