At Morgan Stanley, we are looking for a highly capable Compliance Officer to join our team. We need someone with a great deal of integrity and a passion for upholding the highest standards of compliance. The ideal candidate will have a thorough understanding of the regulatory environment and compliance requirements, as well as a commitment to staying up to date on the latest developments in the field.The successful candidate should have a Bachelor's degree in law, finance, or a related field, along with at least five years' experience in the compliance or finance industry. Knowledge of the financial services industry and its regulatory framework is essential, with specific experience in AML (anti-money laundering) and KYC (know your customer) regulations preferred. Excellent communication, organizational, and problem-solving skills are required, along with the ability to work independently and manage multiple priorities. Most importantly, the ideal candidate should be able to demonstrate a strong commitment to upholding compliance standards and protecting the interests of our clients.
Ability To Multi-Task
Attention To Detail
Strong Written And Verbal Communication Skills
Knowledge Of Relevant Regulations
Sound Judgment And Decision-Making Skills
Problem-Solving And Analytical Skills
Experience In Financial Services Compliance
Familiarity With Financial Markets And Products
Documentation
Communication
Problem Solving
Negotiation
Auditing
Reporting
Risk Analysis
Collaboration
Regulatory compliance
Multi-tasking
Supervision
Law
Analyzing
Investigation
Ethics
Communication
Leadership
Time management
Interpersonal Skills
creativity
self-motivation
flexibility
collaboration
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Compliance Officer in Singapore is SGD$3,500 to SGD$6,000 per month. Salary may vary depending on experience, qualifications, and other factors.
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Morgan Stanley provides investment banking products and services to its clients and customers including corporations, governments, financial institutions, and individuals. It operates through the following business segments: Institutional Securities, Wealth Management, and Investment Management. The Institutional Services segment provides financial advisory, capital-raising services, and related financing services on behalf of institutional investors.

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