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Compliance Associate (Fund Management)

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A prestigious global investment firm is seeking a Compliance Associate (Fund Management) to join their expanding team in Singapore. This is an exceptional opportunity for you to contribute to the robust compliance function of a high-profile organisation with a truly international reach, supporting both local and regional operations.

What you'll do:

As a Compliance Associate (Fund Management) based in Singapore, you will play an integral role in supporting both local entities and broader Asia Pacific operations.

  • Day-to-day responsibilities will involve providing insightful guidance on complex regulatory matters while reviewing key business materials for compliance assurance.
  • You will be actively involved in interpreting regulatory changes that impact fund management companies operating under MAS rules—and potentially SFC rules—ensuring your organisation remains compliant at all times.
  • You will assist in conducting thorough risk assessments as part of the Compliance Monitoring Plan (CMP), manage audit programmes across Singapore and Hong Kong entities by tracking recommendations through to completion, develop robust management information systems for effective reporting, submit regulatory returns punctually to authorities such as MAS and SFC, maintain essential registers covering personal account dealings through to continuous professional training records.
  • Additionally, you will draft internal policies aligned with current regulations; support anti-money laundering efforts; supervise select global activities; contribute meaningfully to training initiatives; uphold information security standards; ensure strict adherence to data protection laws; all while collaborating closely with colleagues across multiple international offices.
  • Success in this role requires attention to detail, excellent communication skills when interacting with stakeholders at every level—including senior management—and an ability to prioritise tasks effectively within a dynamic environment.

What you bring:

Your proven experience as a Compliance Associate (Fund Management) within either wealth management or asset management settings equips you perfectly for this multifaceted position.

  • Approximately 2-3 years’ experience operating in a broad compliance role within wealth management or asset management sectors is highly desirable for this position.
  • Demonstrated understanding of financial services regulation is essential; strong knowledge of MAS rules relating specifically to fund management companies is required.
  • Excellent written and verbal communication skills are necessary for effective interaction across multiple levels within an international organisation.
  • Proven ability to work collaboratively while escalating issues appropriately when needed demonstrates your commitment to responsible teamwork.
  • Experience managing expectations in environments where demands shift rapidly is important; your organisational skills should enable you to prioritise tasks efficiently without compromising quality.
  • Strong research capabilities combined with project management experience will allow you to contribute meaningfully across various compliance initiatives.
  • Financial acumen paired with sound business awareness ensures you can provide valuable insights into regulatory impacts on operational decisions.

What sets this company apart:

This organisation stands out as one of the world’s leading outsourced investment offices serving distinguished endowments, foundations, senior investment professionals, and prominent families globally. With over $60 billion in assets under management across eight major financial centres—including Boston, Texas, New York City, London, Paris, San Francisco, Singapore, Hong Kong—the company offers unparalleled access to top-tier asset managers spanning all major classes. Their culture is built upon inclusivity: they foster collaboration among employees from diverse backgrounds who share unique perspectives. The meritocratic environment rewards talent regardless of origin or experience level while championing wellbeing through comprehensive benefits such as private medical insurance coverage for employees’ health needs; life insurance; income protection plans; generous pension contributions; wellness partnerships; philanthropic engagement via charity programmes; paid volunteer days; plus frequent social events designed for team building. Professional development is prioritised through ongoing training opportunities so every employee can achieve meaningful career progression supported by knowledgeable colleagues committed to shared success. Flexible working arrangements empower staff members by focusing on results rather than rigid schedules—making this firm an outstanding place for those seeking both personal fulfilment and professional achievement within a supportive leadership framework.

What's next:

If you are ready to take your career in compliance further within an internationally respected investment firm that values collaboration and diversity—this is your moment!

Apply today by clicking on the link provided below.

Do note that we will only be in touch if your application is shortlisted.
Robert Walters (Singapore) Pte Ltd
ROC No.: 199706961E | EA Licence No.: 03C5451
EA Registration No.: R22105333 Nur Humaira Binte Jamall Abd Nassir

Contract Type: Perm

Specialism: Banking & Financial Services

Focus: Compliance

Industry: Banking

Salary: Negotiable

Workplace Type: Hybrid

Experience Level: Associate

Location: Singapore

Job Reference: HS5THV-76F6BF7E

Date posted: 23 January 2026

Consultant: Maira Jamall (R22105333)

Phone number: +65 6228 0237

maira.jamall@robertwalters.com.sg

Maira Jamall (R22105333)

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