Singapore, Singapore, Singapore

Director - Regulatory & Risk Advisory - Singapore

 Job Description:

We are seeking an experienced regulatory and risk advisory practitioner to join our client in Singapore at Director level. The successful candidate will lead delivery on regulatory advisory, monitorship and remediation workstreams under Partner-led engagement strategy and regulator-facing positioning, operate as a senior delivery practitioner alongside Partners during regulator-deadline windows, and build the named-account and law-firm-partner relationships that underpin future origination at Senior Director and Partner level. Specific qualifications, regulatory fluency and tooling are detailed in the sections that follow.

Confidential Client. Applying to this position means that you are interested to have an initial confidential discussion about how we can help you to identify and join a new regulatory and risk advisory practice. With your authorisation we will exclusively run the entire application and recruitment process for you, keeping you apprised at every step. With over 30 years' combined experience of helping the most talented compliance and regulatory practitioners to make safe exits to launch rewarding new careers, we have the experience, network and ability to help you.

Key Responsibilities:

  • Lead delivery on anti-bribery / anti-corruption (ABC) risk assessments, third-party due-diligence programmes, sanctions and export-controls reviews, AML / CFT framework reviews, and market-conduct compliance reviews - in support of Partner-led engagement strategy and regulator-facing positioning - while building the named-account and law-firm-partner networks that underpin future personal origination at Senior Director and Partner level.
  • Lead delivery on second-line-of-defence advisory workstreams: target-operating-model design, compliance-framework gap assessments, three-lines-of-defence reviews, board-and-audit-committee-instructed culture reviews, and post-incident remediation programmes following enforcement-decision exposure.
  • Support Partner-led monitorship and DPA-induced advisory engagements: independent compliance monitor delivery, US DOJ / SEC monitor work, UK SFO DPA-monitor work, and Singapore CPIB enforcement-induced compliance-uplift programmes.
  • Deliver sanctions advisory and investigations workstreams: OFAC / UN / EU / UK / Singapore TSOFA sanctions-screening governance, sanctions-evasion fact-pattern review, Strategic Goods Control Act compliance, and dual-use export-controls advisory; integrate with civil-recovery and criminal-referral pathways where misconduct is identified.
  • Advise on AML / CFT framework alignment with MAS AML / CFT Notices (banks, merchant banks, payment services and capital-markets intermediaries) - including transaction-monitoring tuning, name-screening governance, beneficial-ownership identification under MAS COSMIC, and section 26 PDPA evidence-handling integration.
  • Build emerging client relationships and contribute to named-account development at General Counsel, Chief Compliance Officer, Chief Risk Officer, Head of Internal Audit and Audit Committee Chair level, and at relevant law firm partner level - under Partner direction.
  • Mentor and advocate for managers and senior managers - supporting their delivery on regulatory technical depth, championing their development needs at engagement-staffing rounds, and sponsoring their upskilling on emerging methodology and AI tooling - and apply industry-standard regulatory tooling at investigation depth in support of advisory and investigative outcomes.
  • Stay current with the post-FCPA / Bribery Act enforcement frontier, the post-Wirecard / Wells Fargo / 1MDB compliance-pattern lessons, and emerging Singapore COSMIC-platform and trade-based money-laundering typologies.

Required Qualifications and Skills:

  • Recognised compliance, audit or legal credential, such as CAMS (Certified Anti-Money Laundering Specialist, ACAMS), CFE (Certified Fraud Examiner, ACFE), ICA Diploma in Compliance / AML / Financial Crime, CIA (Certified Internal Auditor, IIA), CRMA (Certification in Risk Management Assurance, IIA), or qualified lawyer status (Singapore Bar / common-law-equivalent practising certificate).
  • At least 8 years of relevant experience in compliance advisory, regulatory remediation, internal audit, financial-crime investigations or qualified-legal practice, with substantive direct exposure to financial-services, technology, life-sciences, energy-and-resources or government-sector matters.
  • Demonstrable track record of leading delivery on risk-assessment, framework-review, monitorship or advisory engagements - in support of Partner-led engagement strategy and regulator-facing positioning, with strong methodology and client-facing presence.
  • Direct experience working with senior client stakeholders (General Counsel, Chief Compliance Officer, Chief Risk Officer, Audit Committee Chair) and regulators (CPIB, MAS, ACRA, IRAS where relevant, ICA where relevant, PDPC).
  • Working knowledge of the Singapore regulatory framework: the Prevention of Corruption Act and CPIB enforcement-decision pattern, the Corruption, Drug Trafficking and Other Serious Crimes Act (CDSA), MAS AML / CFT Notices, MAS Technology Risk Management Guidelines, the Strategic Goods (Control) Act and SGC Order, TSOFA and TFSA financial-sanctions framework, the Companies Act 1967 fraud and whistleblower provisions, and PDPA obligations.
  • Working knowledge of cross-border ABC frameworks: FCPA (DOJ / SEC), UK Bribery Act (SFO), the Singapore PCA, France's Sapin II, Germany's VerSanG and Brazil's Clean Companies Act.
  • Familiarity with industry-standard regulatory and risk tooling, including third-party due-diligence platforms (such as Refinitiv World-Check, Dow Jones Risk & Compliance, or LexisNexis Bridger), sanctions-screening platforms (such as Accuity, ComplyAdvantage or LexisNexis Bridger), trade-surveillance platforms (such as NICE Actimize, NASDAQ SMARTS or Eventus Validus), AML transaction-monitoring platforms (such as NICE Actimize, SAS AML or Oracle Mantas), and risk-and-compliance suites (such as Archer or Workiva).
  • High-agency operating style with strong judgement under regulator-deadline pressure and the methodological discipline to ensure findings are evidence-based, structured and defensible.
  • Calm, credible communication style suited to senior regulator engagement, audit-committee reporting and counsel-led privileged-advisory work.

Preferred Experience:

  • Multiple stacking credentials at senior-leadership level - the recognised pattern at this level on multi-vector regulatory mandates.
  • Prior regulator experience or alumni status at MAS, CPIB, ACRA, ICA, or international peers (FCA / SEC / DOJ / SFO / OCC).
  • Postgraduate study in law, finance, public policy, governance or a related discipline.
  • Multilingual capability (Mandarin, Bahasa, Hokkien) for regional regulator engagement and witness interview.
  • Cross-border regulatory experience across Southeast Asia, Greater China, India and South Asia.
  • Track record of converting one-off regulatory-advisory engagements into multi-year retainer or independent-monitor work.
  • Established or emerging relationships with law firm partners in regulatory enforcement, white-collar crime, financial-services regulatory, internal-investigations and class-action / privacy-litigation practices who instruct regulatory advisory and monitorship work.
  • Continuous-learning posture and active engagement with the AI developments reshaping regulatory and risk advisory: candidates who track tooling shifts (such as AI-assisted compliance monitoring, LLM-aided regulatory-change tracking, automated control-testing, or ML-enriched PEP / SDN screening), share that knowledge with managers and senior managers, and have a track record of supporting team upskilling on emerging methodologies.

Compensation:

Competitive package commensurate with seniority and experience, including base, performance-based bonus, long-term incentives and (where applicable) partner-track participation.

Next Steps:

This opportunity is open to Singaporeans, Singapore permanent residents, and qualified candidates with relevant work-rights status who match the above criteria. Please apply to receive prompt contact from an experienced and specialist regulatory and risk advisory recruitment consultant.

Search & Counsel is a trading style of Feltan Associates Pte Ltd; an international Executive Search, Recruitment and Consulting business based in Singapore, licensed and regulated by the Singapore Ministry of Manpower to conduct recruitment services for clients. UEN: 202225620G. EA Licence 23S1672. All rights reserved.

  Required Skills:

Bar Prevention Support Search Steps Ethics SAS Lessons Assurance Mandarin Recruitment Internal Audit Trading Compliance Participation Consulting Compensation Reviews LTD Risk Management Integration Strategy Oracle Pressure Finance Design Business Communication Management