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Compliance Officer

$ 6,000 - $ 8,000 / month

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About SC Capital Partners

SC Capital Partners is a Singapore-based fund manager of private equity real estate funds headquartered in Singapore.

Role Overview

The Compliance Officer will support SC Capital’s global investment and fund management activities by ensuring regulatory compliance, monitoring policies, and providing real-time advice.

Key Responsibilities

  • Ensure compliance with regulatory requirements across jurisdictions (e.g. Singapore, Cayman Islands, Europe, USA).
  • Administer and track regulatory reporting, assess policy impacts, and communicate necessary updates.
  • Draft and review compliance documentation, policies, reports, and regulatory filings.
  • Implement compliance monitoring programs and report any breaches to the Board.
  • Develop and maintain a risk-based enterprise risk management program.
  • Support regulatory reporting, board matters, and investor due diligence.
  • Conduct compliance training and assist with regulatory audits and inspections.
  • Handle ad-hoc legal and compliance tasks, including technology enhancements.

Qualifications & Requirements

  • Minimum 2–5 years of compliance experience in asset management or financial services.
  • Strong knowledge of MAS regulations, including the Securities and Futures Act.
  • Excellent communication, analytical, and problem-solving skills.
  • High ethical standards and meticulous attention to detail.
  • Ability to work independently and a team player.

What We Offer

  • Competitive remuneration and benefits.
  • A collaborative, dynamic work environment.
  • Opportunities for career development and growth.

About SC Capital Partners

SC Capital Partners is a Singapore-based fund manager of private equity real estate funds headquartered in Singapore.

Role Overview

The Compliance Officer will support SC Capital’s global investment and fund management activities by ensuring regulatory compliance, monitoring policies, and providing real-time advice.

Key Responsibilities

  • Ensure compliance with regulatory requirements across jurisdictions (e.g. Singapore, Cayman Islands, Europe, USA).
  • Administer and track regulatory reporting, assess policy impacts, and communicate necessary updates.
  • Draft and review compliance documentation, policies, reports, and regulatory filings.
  • Implement compliance monitoring programs and report any breaches to the Board.
  • Develop and maintain a risk-based enterprise risk management program.
  • Support regulatory reporting, board matters, and investor due diligence.
  • Conduct compliance training and assist with regulatory audits and inspections.
  • Handle ad-hoc legal and compliance tasks, including technology enhancements.

Qualifications & Requirements

  • Minimum 2–5 years of compliance experience in asset management or financial services.
  • Strong knowledge of MAS regulations, including the Securities and Futures Act.
  • Excellent communication, analytical, and problem-solving skills.
  • High ethical standards and meticulous attention to detail.
  • Ability to work independently and a team player.

What We Offer

  • Competitive remuneration and benefits.
  • A collaborative, dynamic work environment.
  • Opportunities for career development and growth.