Compliance, Regional Regulatory Affairs, Analyst
Organising Institution / Firm
Goldman Sachs
Quick Verified Facts
📅 Deadline
Rolling Basis (Official)
📍 Mode / Location
Singapore
💰 Stipend / Pay
Not Specified
🎓 Eligibility
University degree; 2-5 years of experience in Compliance, Legal, Regulatory, or relevant financial services.
🛡️ Category
Jobs
Full Opportunity Brief
Contextual Overview
Goldman Sachs is seeking a Compliance, Regional Regulatory Affairs Analyst based in Singapore. This role sits within the firm's second line of defense, focusing on regulatory risk management, adherence to Monetary Authority of Singapore (MAS) requirements, and cross-divisional compliance initiatives.
Key Eligibility Criteria
- University degree.
- Minimum 2–5 years of professional experience in Compliance, Legal, Regulatory, or financial services.
- Strong project management, interpersonal, and communication skills.
- Ability to manage multiple stakeholders and prioritize tasks effectively.
Responsibilities & Scope of Work
- Implementation and oversight of centralized compliance programs for regulated entities in Singapore.
- Driving regulatory initiatives and managing control uplifts.
- Managing internal and external audit engagements, including regulatory surveys and questionnaires.
- Tracking regulatory interactions, updates, and industry consultations.
- Supporting corporate governance matters for office leadership.
Stipend, Compensation & Mode
Not specified by the employer.
Application Procedure
Interested candidates should apply directly through the official Goldman Sachs career portal or the provided LinkedIn job link. Ensure your profile is updated with relevant experience in regulatory compliance or legal affairs.
Official Link: Goldman Sachs Career Portal (via LinkedIn)
FAQs
- What is the primary regulatory focus of this role? The role focuses heavily on compliance with Monetary Authority of Singapore (MAS) regulations and regional regulatory initiatives.
- Is this a legal role? Yes, the position is classified under the Legal/Compliance function and requires an understanding of the regulatory landscape within the financial services sector.
