Sr Compliance Manager

Posted 1 year ago

Argus Global is a Waystone Group Company (www.Waystone.comthat is headquartered in Ireland and is the leading service provider for Risk, Compliance, Governance globally. Argus specializes in the provision of regulatory and compliance consulting services to financial institutions in Singapore. Our portfolio comprises a variety of businesses including hedge funds, investment banks, asset management companies, venture capital firms, leveraged forex traders, industry corporates, Fintech companies and start-ups.

We provide objective insights, subject expertise and a simple approach to help our clients make sound decisions. We partner with our clients to serve all their compliance needs from the initial phase to ongoing support, monitoring, training, internal audit, risk management and governance.


We are looking for an experienced individual to become an essential part of a growing Argus team assisting our clients with their regulatory responsibilities.

This role would suit someone proactive, who thrives in a fast-paced environment and enjoys multi-tasking.  We can offer you the opportunity to learn, grow and excel in the subject so you can manage your own portfolio of clients seeking regulatory advice, and a work environment that offers variety and is challenging and rewarding.

If you are motivated and ambitious for success send your resume to


  • Assisting Compliance Director to manage clients who desired to be regulated by MAS and assist in applications including licensing and registration;
  • Assisting in managing the team of consultants to drive service excellence.
  • Assist in the implementation of check and balance processes and corporate governance standards as per the client type, strategy, mission, and goals of the regulated entity;
  • Assist in providing day-to-day support in the development, implementation, and maintenance of client’s compliance programs;
  • Assist in development and implementation of compliance policies and procedures – ensure compliance policies and procedures are effectively communicated to the client, in accordance with the Firm’s regulatory requirements;
  • Assist in continuously monitor relevant regulatory changes and assist clients in developing internal controls, accordingly;
  • Assist to communicate and liaise with MAS and other regulatory body;
  • Assist in conducting annual compliance reviews;
  • Assist in preparing and submitting annual and quarterly regulatory filings;
  • Proactively provide practical, business-friendly solutions for esoteric regulatory issues.


  • Preferable 4-6 years years of regulatory compliance experience e.g within a regulator, a regulated firm, or a consultancy
  • Experience dealing with the MAS regulations, in particular the Securities and Futures Act
  • Experience with building policies and procedures around specific business models
  • Good understanding of the financial services industry, in particular the asset management industry
  • Team player, Self-motivated and meticulous

Our regulatory compliance experts can help you determine if your company is up to date with the latest regulations with compliance reviews, and we offer as well ongoing support for all your compliance needs.

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Job Features

Job CategoryCompliance

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