Head of Risk & Regulatory Compliance, Singapore
Position Overview
Job Description
We are seeking a highly experienced and strategic Head of Risk & Regulatory Compliance to join our organization in Singapore. This is a senior leadership role within our Financial Services Business Unit in APAC and offers the opportunity to own the risk and regulatory compliance portfolio, lead key client engagements, build and grow internal capabilities, and shape the risk and compliance landscape across financial institutions.
Key Responsibilities
Develop and lead enterprise-wide risk management and regulatory compliance programs for client organizations, ensuring alignment with business objectives and regulatory requirements.
Advise C-suite and Board-level stakeholders on emerging regulatory risks and compliance obligations, including MAS, HKMA, and international frameworks (e.g., Basel III, AML/CFT, ESG regulations).
Lead and mentor a team of consultants and compliance professionals, promoting a high-performance and risk-aware culture.
Design and implement compliance frameworks, policies, procedures, and internal controls that meet regulatory expectations and best practices.
Conduct regulatory gap assessments, compliance reviews, and risk assessments, and deliver practical recommendations to mitigate exposure.
Liaise directly with regulatory authorities, prepare response strategies for regulatory inquiries, and lead regulatory change management programs.
Monitor and interpret regulatory developments, and assess their strategic and operational implications for clients.
Deliver training and awareness programs to strengthen clients' internal compliance functions.
Lead and formulate business development efforts by shaping proposals, developing thought leadership, and participating in client meetings.
- Bachelor's degree in Finance, Business, Law, or a related field; Master's degree preferred
- Professional certifications such as FRM, CFA, or CAMS
- 10+ years of progressive experience in regulatory compliance and risk management, preferably in the financial services industry
- Proven track record of successfully implementing enterprise-wide risk management and compliance programs
- Strong leadership skills with experience managing and developing high-performing teams
- In-depth knowledge of financial regulations in Singapore and international markets
- Expertise in risk assessment methodologies and compliance best practices
- Proficiency in risk management frameworks and regulatory compliance systems
- Advanced skills in data analysis and reporting
- Excellent project management and strategic planning abilities
- Outstanding communication and presentation skills, with the ability to influence at all levels of the organization
- Demonstrated ability to make decisive, data-driven decisions in complex regulatory environments
Sia is an equal opportunity employer. All aspects of employment, including hiring, promotion, remuneration, or discipline, are based solely on performance, competence, conduct, or business needs.
Practice Area
Compliance
Position
Senior
Applicant Location Requirements
Applicants must be located in: US
Application Deadline
June 26, 2026
Employment Type
Full time
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