Experience with capital markets services licence holders
Adepture Services PTE. LTD. is seeking a Part-Time Compliance Officer/Compliance Advisor to provide regulatory advisory services to clients under the Monetary Authority of Singapore (MAS) framework. The role, which involves approximately 5-10 hours of flexible work per week, is ideal for experienced compliance professionals looking for a portfolio-style advisory position
Job Summary
This role involves providing practical, commercially grounded compliance advice to clients under the MAS framework.
The position requires reviewing, designing, and updating compliance manuals, policies, and internal controls including AML/CFT frameworks.
Candidates will act as an outsourced compliance function supporting diverse regulated entities such as fund managers and insurance brokers.
Matching Summary
Match Score: 85
Adepture Services PTE. LTD. is seeking a Part-Time Compliance Officer/Compliance Advisor to provide regulatory advisory services to clients under the Monetary Authority of Singapore (MAS) framework. The role, which involves approximately 5-10 hours of flexible work per week, is ideal for experienced compliance professionals looking for a portfolio-style advisory position.
Salary
Hourly: SGD 80 – 150 per hour; Monthly retainer: SGD 2,000 – 5,000; Higher compensation for named appointments
Skills & Requirements
Must-have
5-10 years compliance experience in Singapore
Knowledge of MAS regulations SFA FAA
Experience with Capital Markets Services licence holders
Direct experience with insurance brokers intermediaries
Ability to design AML/CFT frameworks
Nice-to-have
Strong regulatory judgement and commercial awareness
Professional certifications like CAMS or ICA
Legal qualification or CFA designation
Experience as outsourced compliance consultant
Clear concise communication skills
Key Requirements
Minimum 5-10 years relevant compliance experience
Direct experience with CMS licence holders
Prior role as Compliance Officer MLRO or consultant
Strong working knowledge of Securities and Futures Act
Strong working knowledge of Financial Advisers Act