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Vice President - Private Wealth Middle Office Compliance Officer

Sumitomo Mitsui Banking Corporation Singapur
Gepostet vor 4 Tagen Festanstellung To define

Vice President - Private Wealth Middle Office Compliance Officer

Sumitomo Mitsui Banking Corporation Singapur
The Private Wealth Middle Office Compliance Officer is a hybrid role spanning compliance and middle office functions, responsible for client due diligence, regulatory controls, reporting, and operational governance for high-net-worth clients. The role supports KYC reviews, sanctions screening, transaction management, data reporting, control enhancement, process automation, and regulatory compliance, while serving as a key liaison between the front office, operations, and control functions. This position reports to the SMBC PWG Middle Office and is dual-hatted to the Nikko Private Wealth Compliance function.
Company description:

Sumitomo Mitsui Banking Corporation



Job description:

Key Responsibilities:

  • Perform KYC/AML/Sanctions related reviews for new and existing Nikko PW clients.
  •  Evaluate product suitability and client eligibility as well as tax classification (reason to know elements) against the established KYC profile.
  • Prepare, maintain, and organize materials (training, checklist, guidelines), contributing also to NPC proposals, and ad-hoc information requests.
  • Respond promptly to client queries and coordinate internal / external follow-ups.
  • Support front office pipeline prioritization, ensuring timely and accurate execution of necessary reviews and account refresh activity.
  • Help identify process efficiency opportunities and assist in change initiatives.
  • Develop, implement, and monitor key controls for regulatory related processes inherent to the account opening and KYC maintenance processes.
  • Maintain updated client records and manage information in CRM systems.
  • Collaborate with internal teams (across Nikko Securities and SMBC Bank) such as investment, product, and operations to help deliver seamless client service.
  • Assist in planning and coordinating intra and cross departmental training regarding client KYC, product suitability and client eligibility.

 

In more detail for:

 

  • KYC/AML/Sanctions focus

 

Client Onboarding & Periodic Reviews (Nikko PW Compliance)

  • Assess compliance with applicable AML/CFT, sanctions and Accredited Investor requirements.
  • Perform independent compliance reviews of Nikko PW client onboarding and periodic review documentation.
  • Provide guidance on compliance matters arising from Nikko PW onboarding and periodic review processes.

AML/CFT and Sanctions Advisory

  • Provide AML/CFT and sanctions advisory support to the SMBC Nikko Private Wealth business ("Nikko PW").
  • Assess the impact of new regulatory requirements relating to AML/CFT, sanctions and client due diligence, and conduct gap analyses where required.
  • Develop, maintain and enhance AML/CFT, sanctions and client due diligence frameworks, policies and procedures for Nikko PW.

Financial Crime Compliance (Nikko PW Compliance)

  • Review and disposition alerts arising from name screening and transaction monitoring activities.
  • Investigate potential sanctions, adverse news, unusual transaction concerns, and escalate suspicious transactions/ activities in accordance with internal requirements.
  • Support the ongoing enhancement and effectiveness of financial crime controls, surveillance processes and related systems.
  • Perform periodic reviews and tuning of screening and monitoring thresholds to ensure parameters remain appropriate, effective and fit for purpose.

 

  •  Business Controls and Governance focus

 

Governance, Reporting & Training Compliance, Governance & Business Support

  • Monitor compliance with Accredited Investor requirements.
  • Prepare management information, risk reports, dashboards, regulatory submissions, EWRA and other AML/CFT-related reporting whether for use by Nikko PW compliance or MO function.
  • Deliver AML/CFT, sanctions and compliance training to SMBC Bank Private Wealth Group (“SMBC PWG”) staff who has been dual hatted into Nikko PW.
  • Liaise with internal stakeholders, Head Office and external service providers on Nikko PW compliance, MO business controls and audit-related matters.
  • Support compliance monitoring, self-assessments, regulatory projects, audits and regulatory inspection initiatives relating to Nikko PW Compliance and SMBC PWG.
  • Provide support for governance, control and operational initiatives undertaken across the SMBC PWG to promote efficiency and effective utilisation of shared resources between SMBC PWG and Nikko PW.
  • Undertake such other compliance, governance and business support (i.e. PWG Middle Office) responsibilities as may be assigned by Nikko PW Compliance and SMBC PWG.

Qualifications:

  • Bachelor’s degree in Finance, Business, Economics, Law or related field.
  • At least 10 years of experience in banking, wealth management, or financial services, prefereably obtained within the compliance and/or Operational Risk, Business Controls space.
  • Good understanding of KYC, Sanctions, regimes, client onboarding, financial products and market dynamics.
  • Strong organizational skills with attention to detail.
  • Excellent communication and interpersonal abilities.
  • Familiarity with regulatory standards and compliance processes.
  • Proficiency in Microsoft Office and CRM tools.

 

Skills & Attributes:

  • Client-focused with a proactive mindset
  • Ability to manage multiple tasks efficiently
  • Strong teamwork and collaboration skills
  • Analytical and problem-solving capabilities
  • High integrity and professionalism

 

Job ID  7315 44450752
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