155 Building Regulations jobs in Singapore

Senior Building Inspection Expert

Singapore, Singapore beBeeExpertise

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Job Description

Job Description

As a senior building inspection expert, you will be responsible for conducting thorough physical inspections of structures to ensure they meet regulatory and contractual requirements.


Key Responsibilities:
  • Perform routine inspection activities under strict guidelines from both public and private sectors.
  • Compile detailed inspection reports within specified timeframes for submission to relevant authorities and clients.
  • Provide advisory services to clients on structural integrity matters.
  • Foster strong relationships with industry stakeholders.
  • Offer consultancy services in investigative work as needed.
  • Manage key personnel, clients, and service providers effectively.
  • Maintain high-quality reports, customer support, and service level agreements.

Requirements and Qualifications

To excel in this role, you will need:

  • Excellent knowledge of construction practices and quality control principles.
  • Strong communication skills for effective stakeholder engagement.
  • Ability to work independently and collaboratively as part of a team.
  • Good problem-solving skills and analytical thinking.
  • Proficiency in technical software and tools relevant to the field.

Benefits

As a valued member of our team, you can expect:

  • A competitive salary package.
  • Ongoing training and professional development opportunities.
  • A supportive and collaborative work environment.
  • Regular performance feedback and evaluations.

Additional Information

This position requires a strong commitment to delivering high-quality results and exceptional customer service. If you are a motivated and detail-oriented individual with a passion for building inspections, we encourage you to apply.

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Regulatory Compliance

Singapore, Singapore $60000 - $80000 Y WOORI BANK

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Job Description

As part of the Regulatory Compliance Team, the hired candidate is expected to perform the following duties, and not limited to:

  1. Regulatory Liaison and Stakeholder Management

  2. Assist the Regulatory Compliance Manager in liaising with regulatory authorities and government agencies (eg. MAS/ABS/ACRA etc.)

  3. Manage both internal and external stakeholders to ensure timely and effective communication
  4. Handle inquiries, RFI (request for information) from Head Office and regulatory authorities on a timely basis by working with internal stakeholders

  5. Compliance Monitoring and Advisory

  6. Monitor, track and interpret changes in local and international regulations, including those from the Monetary Authority of Singapore (MAS), and assess their impact on the bank's operations.

  7. Assist in evaluating new products and services to ensure regulatory compliance.
  8. Serve as a point of contact for business units, providing regulatory advice and guidance on compliance matters.
  9. Perform compliance monitoring and testing on bank's processes and operations against the bank's P&P and manuals

  10. Management of Compliance Programs and Documentations

  11. Update and manage the branch's Obligation Register, Policies and Procedures, Compliance Monitoring Program

  12. Assist in the development, implementation, and review of internal policies and procedures to ensure compliance with applicable laws and regulations.
  13. Assist in the preparation of regular and ad-hoc compliance related reports for reporting to Head Office and/or regulatory authorities
  14. Assist in the preparation of monthly Compliance/Risk Committee agenda

  15. Management of Audits (Internal/External)

  16. Assist the Regulatory Compliance Manager in the management of external and internal audits

  17. Manage external and internal audit findings and recommendation by ensuring proper and timely remediation of issues

  18. Support and Training

  19. Support the Risk Management, Regulatory Reporting and Financial Crime Compliance teams in identifying, assessing, and mitigating compliance-related risks to the business.

  20. Support and conduct trainings for bank employees on compliance-related topics

Job Requirements

  • 1 year of relevant experience in compliance/audit/regulatory reporting/supervision, preferably in the banking or financial services industry or regulatory authority (Fresh graduates are welcome to apply and will be considered for the role)
  • Team player with a positive attitude, good communication and interpersonal skills
  • Self-motivated and able to work independently
  • Strong analytical thinking with attention to details
  • Keen interest to develop skillsets in regulatory compliance for the banking and finance sector
  • Bachelors' Degree (preferably in Banking and Finance/Business/Accounting/Law)
  • Any other relevant certifications or achievements (eg. ICA/ACAMS) are not necessary but will be an advantage
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AVP - Regulatory Compliance

Singapore, Singapore Charterhouse Partnership | Asia

Posted 13 days ago

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A reputable payment services organisation is urgently looking for an AVP - Regulatory Compliance person in Singapore. DO NOTE NO WORK VISA SPONSORSHIP IS PROVIDED!

Overview

A reputable payment services organisation is urgently looking for an AVP - Regulatory Compliance person in Singapore. DO NOTE NO WORK VISA SPONSORSHIP IS PROVIDED!

Key Responsibilities
  • Be updated of regulatory developments and changes impacting the company and advise the business units accordingly
  • Be compliant with applicable laws, rules and regulations and apply sound ethical judgment regarding business practices and conduct
  • Guide the business units on Compliance with relevant requirements in the context of issues and problems that are raised during normal business activities
  • Partner and collaborate closely with the business units to identify and manage regulatory risk including handling time critical incident reporting to the authority
  • Evaluate risk when business decisions are made, with due consideration for the company’s reputation and key stakeholders’ interests
  • Draft and roll out organizational policies, standards and procedures to comply with applicable regulations
  • Craft, implement, and carry out compliance testing, continuous assurance, and reporting of compliance testing reviews
  • Provide training to improve awareness of compliance policies and regulatory requirements
  • Manage regulatory requests and inform the senior management of significant compliance matters that require their attention or action in a timely manner
Requirements
  • Good degree holder in computer science, information technology, information security, economics, accounting or related disciplines from a recognised University
  • Minimum of 7 years of compliance experience in a regulated financial industry (for eg. banking, securities/brokerage, payment)
  • Prior experience working in BIG 4, regulator or exchange focusing on Financial Services Compliance advisory advantageous
  • Analytical, meticulous, good problem-solving skills and ability to prioritize, able to multi-task and self-motivated
  • Effective team player and able to work independently, strong inter-personal and communication skills, proficient in documentation and report writing skills
Seniority level
  • Associate
Employment type
  • Full-time
Job function
  • Accounting/Auditing and Analyst
Industries
  • Financial Services, Banking, and Insurance Agencies and Brokerages

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Regulatory & Compliance Counsel

Singapore, Singapore Danos Group

Posted 27 days ago

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Job Description

Our client, a global investment company, is seeking a Regulatory & Compliance Counsel to join their Singapore team. This is an exciting opportunity to provide strategic regulatory guidance across the firm’s operations, including licensing, regulatory engagement, and transactional compliance across multiple jurisdictions.

Responsibilities
  • Support the development and execution of the firm’s regulatory compliance framework, with a focus on Singapore and key international markets.
  • Provide legal support on regulatory aspects of corporate transactions, including M&A and capital markets activities.
  • Monitor and assess regulatory developments across relevant jurisdictions, advising on implications and risk mitigation strategies.
  • Engage with regulatory authorities (e.g., MAS, SGX, SEC, FCA) on relevant matters.
  • Oversee ongoing compliance with regulatory approvals and licensing obligations globally.
Requirements
  • 6–10 years’ PQE with relevant experience in legal practice or in-house roles within financial services, focusing on regulatory, compliance, or transactional matters.
  • Proven experience advising on transactional matters within regulated environments.
  • Hands-on involvement in regulatory submissions and licensing processes.
  • Awareness of cross-border regulatory considerations and licensing regimes.
Seniority level
  • Mid-Senior level
Employment type
  • Full-time
Job function
  • Legal

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Regulatory Compliance Specialist

$90000 - $120000 Y NETS

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Job Description

Job description:

Position Summary

This role is responsible for ensuring the company's adherence to all related and relevant compliance regulations. He/She will be the compliance advisory for various departments and collaborate with them to ensure compliance with all applicable regulations while achieving the organization's goals.

Key Responsibilities

  • Keep abreast of regulatory developments and changes impacting the company and advise the business units accordingly.
  • Ensure compliance with applicable laws, rules and regulations and apply sound ethical judgment regarding business practices and conduct.
  • Provide guidance to the business units on how to comply with relevant requirements in the context of issues and problems that are raised during normal business activities.
  • Work hand in hand with the business units to identify and manage regulatory risk including handling time critical incident reporting to the authority.
  • Assess risk when business decisions are made, with due consideration for the company's reputation and key stakeholders' interests.
  • Develop and implement organizational policies, standards and procedures to comply with applicable regulations.
  • Develop, implement, and execute compliance testing, continuous assurance, and reporting of compliance testing reviews.
  • Conduct training to improve awareness of compliance policies and regulatory requirements.
  • Manage regulatory requests and inform the senior management of significant compliance matters that require their attention or action in a timely manner.

Requirements

  • Degree holder in computer science, information technology, information security, economics, accounting or related disciplines with at least 7 years of compliance experience in a regulated financial industry.
  • Possess strong analytical skills, paying careful and particular attention to detail.
  • Excellent problem-solving skills and ability to prioritize and manage multiple tasks.
  • Strong team player with track record of working well in a collaborative environment with strong inter-personal and communication skills.
  • Strong in documentation and report writing skills.
  • Self-driven with the ability to operate independently.
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Manager, Regulatory Compliance

Singapore, Singapore $90000 - $120000 Y Delivery Hero

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Company Description

foodpanda is part of the Delivery Hero Group, the world's pioneering local delivery platform, our mission is to deliver an amazing experience—fast, easy, and to your door. We operate in over 70+ countries worldwide. Headquartered in Berlin, Germany. Delivery Hero has been listed on the Frankfurt Stock Exchange since 2017 and is part of the MDAX stock market index.

Job Description

Responsibilities

  • Maintain a comprehensive compliance program and governance structure, including but not limited to reviewing the adequacy of regulatory compliance strategies, policies and frameworks
  • Maintain foodpanda's Major Payments Licence with the MAS
  • Act as the primary contact with MAS, managing inquiries, reviews and regulatory submissions to MAS
  • Serve as a business adviser and subject matter expert on regulatory compliance for existing and new products/features, including but not limited to identifying and assessing Money Laundering ("ML") / Terrorism Financing ("TF") risks and developing mitigating controls
  • Drive the implementation, execution and monitoring of compliance programmes, including but not limited to Anti-Money Laundering/Countering the Financing of Terrorism ("AML/CFT") / Know Your Customer ("KYC") / Transaction Monitoring ("TM)") / Sanctions Monitoring topics
  • Implement and conduct regulatory compliance training programs on an ongoing basis
  • Collaborating with technology and product teams in assessing and mitigating technology risk and regulatory risks
  • Monitor AML/CFT industry developments and keep updated of new regulations in Singapore, and ensure processes are in place to keep the business updated on such developments. Analyse information on legal and regulatory trends and the impact these have on the company's AML/CFT framework
  • Initiating, and promptly replying to ad-hoc compliance issues, and supporting business stakeholders and management in understanding compliance-related risks and management of such risks
  • Providing reports to management on a periodic basis on levels of compliance and/or any issues arising from specific monitoring activities
  • Preparing and submitting regulatory returns and STR filings
  • Supporting the coordination of audits (internal/external) on regulatory compliance
  • Partnering closely with cross-functional stakeholders and liaising with our APAC and Berlin HQ compliance teams to ensure common standards and practices
  • Mentor and develop the regulatory compliance team, providing guidance, training, and oversight to build subject matter expertise

Qualifications

What you need to be successful:

  • Minimum 5 years of relevant experience in compliance roles (relating to AML) in financial services/financial technology/financial consulting firms, of which 2 years should be in a commercial/corporate setting
  • Direct experience in compliance in the Payments, Fintech or Financial Services industry would be advantageous, previous experience in working with the MAS/facilitating or maintaining a license application is a plus
  • Possess expert knowledge of MAS regulatory obligations in Singapore, including but not limited to the Payment Services Act 2019, and its relevant notices and forms.
  • Accreditation in CAMS (Certified Anti-Money Laundering Specialist) is a plus
  • Ability to work with global teams on compliance procedures or best practices
  • Commercially astute, highly-drive and pragmatic, with strong influence and interpersonal skills
  • Excellent communication skills, with the ability to effectively, and efficiently communicate compliance concepts including interpreting regulatory regulations to internal stakeholders.
  • Good interpersonal skills; organised and meticulous. Self-motivated, able to work with minimal supervision and under pressure
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Director Regulatory Compliance

Oracle

Posted 14 days ago

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Job Description

**Job Description**
Leads a team to manage the ongoing preparation, testing, and monitoring of compliance with information security standards and government regulations and regulatory agencies as it relates to the design, development, and deployment of products and services within host country needs. This individual must have a security clearance of the host government.
**Responsibilities**
The Director, Compliance Oracle Cloud Isolated Region, will coordinate closely with operations teams which may include Global Business Units, Corporate Security, and with Oracle Legal. Responsibilities include developing and maintaining comprehensive information security, and/or quality management, and regulatory oversight program, including standards for product and service design aligned with Oracle Software Security Assurance and Security Architecture Review, and/or quality management system standards. Will be responsible for managing information security risks and managing compliance team. Will educate through training members on information security and industry regulatory standards applicable to their products and services. Work with respective teams which may include isolated region operations and service to incorporate applicable industry regulatory standards, Oracle security and/or quality policies and customer-contractual obligations into processes and standards. Work with Corporate Security and Business Assessment and Audit, and/or Quality System Internal Audit to evaluate product and service line security and regulatory compliance on an ongoing basis. Work with Legal to evaluate changes in applicable laws and regulations and impact on products and services. Work with Corporate Development and Legal to evaluate potential acquisitions for regulatory issues. Administrate industry and regulatory certifications. Build a compliance team to support government reporting, validations, and accreditation activities and subsequently maintain a continuous monitoring of meeting security controls.
+ This role is open to Singaporeans and PRs only.
+ This role will involve the successful applicant working on government projects which may require security clearance being obtained and maintained as a condition of employment. Candidates applying for this role must be willing to provide necessary personal details for the application and maintenance of necessary security clearance.
Career Level - M4
**About Us**
As a world leader in cloud solutions, Oracle uses tomorrow's technology to tackle today's challenges. We've partnered with industry-leaders in almost every sector-and continue to thrive after 40+ years of change by operating with integrity.
We know that true innovation starts when everyone is empowered to contribute. That's why we're committed to growing an inclusive workforce that promotes opportunities for all.
Oracle careers open the door to global opportunities where work-life balance flourishes. We offer competitive benefits based on parity and consistency and support our people with flexible medical, life insurance, and retirement options. We also encourage employees to give back to their communities through our volunteer programs.
We're committed to including people with disabilities at all stages of the employment process. If you require accessibility assistance or accommodation for a disability at any point, let us know by emailing or by calling in the United States.
Oracle is an Equal Employment Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, sexual orientation, gender identity, disability and protected veterans' status, or any other characteristic protected by law. Oracle will consider for employment qualified applicants with arrest and conviction records pursuant to applicable law.
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Regulatory Compliance Specialist

Singapore, Singapore beBeeCompliance

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Job Title: Regulatory Compliance Officer

A seasoned professional is required to oversee the operational integrity of our e-commerce platform. This role involves driving a proactive approach to risk control, content moderation, and brand protection.

Main Responsibilities:

  • Risk Control:
    • Develop and implement compliance policies to mitigate risks across the platform.
    • Conduct regular risk assessments to identify potential threats and vulnerabilities.
    • Monitor and report on daily activities for compliance adherence.
  • Content Moderation:
    • Establish and enforce clear guidelines for user-generated content.
    • Oversee moderation processes to ensure swift and accurate responses to any violations or illegal content.
    • Stay updated on evolving laws and industry standards related to content.
  • Brand Protection:
    • Combat counterfeiting and infringement by monitoring and removing counterfeit products and items that infringe on intellectual property rights.
    • Manage IPR claims and inquiries, working closely with legal teams and external partners to resolve disputes.
    • Safeguard brand reputation by preventing and removing misleading or harmful content.
    Requirements
    • Bachelor's degree in Finance, Economics, Statistics, Computer Science, or a related field is preferred.
    • At least 1-2 years of experience in compliance or risk analyst roles.
    • Proficient in Excel/Google Sheets.
    • Experienced in using SQL for data extraction and analysis.
    • Strong analytical, investigative, and problem-solving skills.
    Preferred Skills
    • Experience in content moderation or policy enforcement on an online platform.
    • Familiarity with intellectual property enforcement (Trademark, Copyright).
    • Knowledge of global e-commerce laws and digital content regulations.
    • Experience with data visualization tools such as Tableau or Superset.
    • Prior experience in an e-commerce or online marketplace environment.
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Regulatory Compliance Leader

Singapore, Singapore beBeeFinancial

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Senior Leadership Opportunity

We are seeking a highly experienced professional to spearhead our Financial Services Regulatory Compliance practice as a Senior Manager.

Key Responsibilities:

  • Lead and participate in numerous projects involving regulatory process reviews, system enhancements, and new systems implementation.
  • Deliver integrated assurance, advisory, tax, and transaction services to clients in the financial services industry.

Required Skills and Qualifications:

  • Proven experience in leading and participating in complex projects.
  • Strong knowledge of regulatory processes and system enhancements.
  • Ability to deliver high-quality services to clients.

Benefits:

  • Opportunity to work with a global market perspective.
  • Chance to develop leadership skills and expertise.

About this Role:

  • This is an exciting opportunity to work with a leading firm in the financial services industry.
  • The successful candidate will have the opportunity to make a significant impact on our business.
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Regulatory Compliance Professional

Singapore, Singapore beBeeReporting

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Regulatory Reporting Specialist

Job Description:

The successful candidate will be responsible for preparing and submitting regulatory reports to the relevant authorities in a timely manner, ensuring accuracy and compliance with all applicable regulations. This includes monitoring key ratios and indicators, reviewing and understanding regulatory requirements, and liaising with other departments as needed.

Key Responsibilities:

  1. Prepare and submit regulatory reports to meet statutory requirements.
  2. Monitor and analyze key ratios and indicators to ensure they meet regulatory requirements.
  3. Review and understand new or revised regulatory notices and provide recommendations for implementation.
  4. Liaise with other departments on reporting and data quality issues, providing suggestions for process enhancement and additional internal controls.

Requirements:

The ideal candidate will have a recognized university degree in a relevant field, such as accounting, finance, analytics, statistics, mathematics, or IT, and at least 5 years of experience in a related role. They should possess strong analytical and problem-solving skills, proficiency in MS Excel, Word, PowerPoint, and Access, and excellent communication and interpersonal skills.

Benefits:

This role offers a unique opportunity to work in a dynamic environment, utilizing technical skills to drive business growth and development.

Others:

The company is an equal opportunities employer and welcomes applications from diverse candidates.

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