104 Tax Compliance jobs in Singapore
Tax Compliance Specialist
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Job Overview
We are seeking a Tax Compliance Specialist to join our team. The successful candidate will be responsible for ensuring accurate and timely tax compliance with all statutory requirements.
- Prepare and review tax filings, computations, and returns to ensure accuracy and completeness.
- Identify and manage tax risk areas, gathering information on tax, accounting, business, legal, and governance issues.
- Monitor business operations to ensure adherence to tax controls and policies.
Requirements
- At least 4 years of experience in tax advisory with a professional accounting firm.
- Experience in dealing with tax advisory for Corporate Tax, Personal Tax, and GST related matters.
- Pursuing or obtained SIATP membership or equivalent.
Benefits
The successful candidate will have the opportunity to work in a dynamic environment and contribute to the success of our organization.
Tax Compliance Specialist
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Job Overview
As a Tax Compliance Specialist, you will play a key role in ensuring the accurate and timely processing of tax documents and forms for assigned clients. Your responsibilities will include handling inquiries related to tax matters, coordinating with tax authorities to obtain necessary information, and maintaining up-to-date records.
Key Responsibilities:
- Assist in the preparation and submission of tax documents and forms;
- Respond to client inquiries regarding tax-related matters;
- Collaborate with tax authorities to resolve any discrepancies or issues;
- Maintain accurate and detailed records of all transactions and communications;
- Perform ad-hoc administrative tasks as assigned by the Supervisor or Team Lead.
Requirements:
- Strong knowledge of tax laws and regulations;
- Excellent communication and interpersonal skills;
- Ability to work independently and as part of a team;
- Proficiency in accounting and compliance software;
- Experience in audit and assurance is a plus.
What We Offer
- A dynamic and supportive work environment;
- Ongoing training and professional development opportunities;
- The chance to work on challenging projects and develop your skills.
Tax Compliance Expert
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Job Overview
The role of tax compliance expert is pivotal in ensuring business tax adherence. Key responsibilities include scrutinizing and analyzing financial reports and tax documents to guarantee regulatory standards are met.
Key Responsibilities:
- Conduct comprehensive tax research and analysis to identify opportunities, provide recommendations on efficient tax structures, and coordinate implementation.
- Review financial statements from a tax perspective, prepare SOPs as needed, and facilitate coordination with relevant teams.
- Prepare and review monthly, quarterly, and yearly tax returns, including corporate income tax, GST, withholding tax, and reconciliation reports, ensuring timely and accurate compliance.
- Coordinate with tax consultants on transfer pricing, documentation requirements, and Country-by-Country Reporting (CbCR).
- Review supporting data and prepare reports for Control Foreign Corporation (CFC) compliance, including dividend payments and withholding taxes.
- Ensure Economic Substance Requirement (ESR) compliance by reviewing supporting data and preparing reports.
- Coordinate with the legal department for annual board meetings to obtain Tax Residency Certificates.
- Provide tax advice and recommendations, coordinating with relevant teams for implementation.
- Collect, analyze, and review data to respond to tax auditors' queries.
- Recommend strategies to prevent future tax risks.
Requirements:
- Bachelor's degree or equivalent in Finance, Tax, or related fields.
- Exceptional communication skills for effective collaboration across levels.
- Ability to work under pressure with resilience and drive, focusing on strategic objectives.
- Strong analytical and problem-solving skills with attention to detail.
Tax Compliance Specialist
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We are seeking a highly organized and detail-oriented Tax Compliance Specialist to join our team. As a key member of our tax department, you will be responsible for assisting in the processing of tax documents, handling queries on tax matters, coordinating with tax authorities to obtain relevant information, and meeting deadlines to process tax forms for assigned clients.
Key Responsibilities:
- Process tax documents accurately and efficiently
- Respond to client inquiries on tax-related matters
- Coordinate with tax authorities to resolve any issues or discrepancies
- Meet deadlines for processing tax forms
To succeed in this role, you will need:
- Excellent organizational and time management skills
- A strong attention to detail and accuracy in data entry
- Effective communication and interpersonal skills
- The ability to work independently and as part of a team
- A thorough understanding of tax laws and regulations
- Proficiency in Microsoft Office, particularly Excel
In this role, you can expect:
- A competitive salary and benefits package
- Ongoing training and development opportunities
- The chance to work with a dynamic and experienced team
- A fast-paced and challenging work environment
Compliance Officer, Compliance
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Position Description
This is a 6-month contractual (potentially extendable) position for a period of maternity leave coverage. As a member of the Singapore Compliance team reporting to the Head of Compliance, Singapore, and with further support from head office, the incumbent will have the exciting opportunity to support multiple business lines across a number of licensed entities in Singapore, including, wealth management, institutional cash equities sales and trading, research, Delta One & Equity Derivatives, fixed income sales and trading, ECM, DCM and asset management businesses.
Key Areas of Responsibilities
The incumbent will have the following shared responsibilities with other members of the Singapore Compliance team:
Compliance Monitoring and Surveillance
- maintaining and executing the Compliance Monitoring Programme, which includes, amongst others:
- trade surveillance by analysing trade data and via the use of SMARTS Broker trade surveillance tool;
- monitoring of staff dealing activity and compliance with staff dealing policy;
- monitoring of staff outside directorships, business interests and activities;
- monitoring of gift and entertainment of staff;
- monitoring of fly-in-fly-out activities of licensed staff;
- conducting Compliance desk reviews/thematic reviews, as may be required, based on emerging risks or new regulatory requirements;
Central Compliance
- managing the MAS licensing and SGX registration process for new front office staff;
- monitoring and following up with existing MAS appointed representatives and SGX trading representatives on their continuing obligations, amongst others, changes in personal particulars and business interests, continuing professional development and register of securities;
- liaising with relevant internal stakeholders to complete surveys/forms/questionnaires requested by MAS/SGX;
- handling simple requests and queries from regulators/auditors;
- ensuring that all Compliance correspondences/records and registers are duly tracked and maintained;
- conducting Compliance induction training for all new staff and other basic training as may be required by the team leaders of Compliance, Singapore;
- facilitating staff completion of mandatory Compliance trainings and declarations;
- assisting with Compliance reporting to local and group management;
Compliance Advisory (depending on bandwidth)
- responding to simple internal queries, for example, those relating to licensing requirements or group Compliance policies/procedures such as staff dealing, outside business interests, and gift and entertainment, etc;
- assisting the team leaders of Compliance, Singapore, to track and manage regulatory changes/new regulatory requirements;
- be part of a project team to manage new regulatory changes or new business activities, as may be required by the team leaders of Compliance, Singapore;
- assisting the Head of Compliance, Singapore, to handle all internal/external audits and MAS/SGX inspections;
- assisting the team leaders of Compliance, Singapore, to draft local Compliance policies and procedures, as may be required; and
- assisting with all other ad-hoc tasks as required by the team leaders of Compliance, Singapore.
Requirements
- At least 3 years of Compliance/audit/regulatory experience in the financial services sector
- Experience in Compliance advisory support for wealth management or equity derivative businesses will be an advantage
- Excellent analytical skills and quick logical thinking ability
- Strong interpersonal skills
- Good writing and presentation skills
- Attention to detail
- Ability to operate independently and to multi-task
- Proficiency in Microsoft Office Applications for both data collection and interpretation of the results that can presented clearly and concisely
- Understanding of Compliance role and risk-based Compliance approach, and ability to identify and remediate key Compliance risks
- Basic understanding and application of the Securities and Futures Act and SGX rules
- Proficiency in spoken and written Mandarin will be considered an asset, as the role may involve communicating with Mandarin-speaking stakeholders and reviewing relevant documentation in Mandarin as part of official duties
compliance officer
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- Provide operational support to staff for customer due diligence processing
- Undertake AML screening using in-house systems
- Follow-up to close-out screening alerts
- Assist with other tasks for the onboarding screening desk
- Conducting of compliance trainings
- Understand compliance requirements for company
Compliance Officer
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Compliance
Compliance Officer - Singapore
SG, Singapore (Hybrid)
Description
We're looking for a proactive Compliance Officer to join our Global Compliance Department. This key role focuses on product compliance, through the enforcement of our internal standards, prevention of misuse, and the promotion of ethical practices across the organization. You'll implement business principles, ethics procedures including KYC procedures, and manage projects while supporting overall Compliance and Ethics initiatives.
Responsibilities
- Develop and maintain compliance policies, ensuring alignment with Bright Data's values.
- Oversee ethical compliance in service usage.
- Detect and prevent fraud and create prevention tools.
- Conduct audits to ensure policy adherence and recommend improvements.
- Communicate directly with, and evaluate customers and partners, for policy alignment and to provide guidance.
- Report findings and update policies to address new risks.
Requirements
- Proven experience in compliance and fraud prevention.
- Familiar with fraud systems, compliance frameworks, and AI investigative tools.
- Strong analytical and communication skills with keen attention to detail.
- A degree in law, business, or data science - an advantage.
- CCEP or CFE certifications - an advantage.
- Excellent verbal and written communication skills in Chinese and English - a must, additional languages - an advantage.
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Compliance Officer
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Job Title: Compliance Officer (Academic Assessments)
Location: FirstCom Academy, Singapore
Employment Type: Full-Time
Working Hours: 9am - 6pm (Monday - Friday)
Salary: $3000 - $4000
About FirstCom Academy
At FirstCom Academy, we equip individuals and businesses with the digital skills needed to thrive in today's fast-evolving landscape. As a leader in adult education, we're committed to ensuring the highest standards of course delivery, assessments, and learner outcomes.
Job Overview
We are seeking a detail-oriented and meticulous Internal Auditor to join our team. This role is pivotal in upholding the integrity, compliance, and quality of learner assessments, tests, and other related documents across all courses. You will be responsible for reviewing completed assessments to ensure proper marking, trainer adherence to assessment guidelines, and overall academic quality assurance.
Key Responsibilities
- Conduct regular audits of learner assessments, test papers, and other related documents to ensure they meet internal standards and regulatory compliance (e.g. SSG, WSQ frameworks).
- Verify that trainers have marked assessments accurately and consistently according to official marking schemes and rubrics.
- Identify discrepancies, incomplete marking, or procedural lapses in the evaluation process.
- Prepare audit reports summarizing findings, non-compliance areas, and suggested corrective actions.
- Collaborate with trainers and curriculum developers to clarify assessment standards and improve consistency.
- Provide feedback and recommend improvements to enhance assessment processes and documentation practices.
- Track and follow up on corrective actions to ensure resolution and compliance.
- Ensure assessment documents are properly archived and audit-ready at all times.
- Participate in internal meetings and contribute to continuous improvement initiatives.
Requirements
- Diploma or Degree in Education, Business Administration, Quality Assurance, or a related field.
- Fresh graduates are welcome to apply – training will be provided.
- Meticulous with a keen eye for detail and a strong sense of responsibility.
- Strong written and verbal communication skills.
- Comfortable working with documentation, checklists, and spreadsheets (e.g. Excel, Google Sheets).
- Able to work independently and manage tasks in a structured and timely manner.
- A willingness to learn about academic compliance standards and contribute to process improvements.
- Bonus: Familiarity with adult education, WSQ frameworks, or assessment documentation is a plus.
Why Join Us?
- Be part of a growing and dynamic team that's passionate about education.
- Contribute to shaping the quality and credibility of digital education in Singapore.
- Attractive remuneration package and career progression opportunities.
- Friendly and vibrant working environment.
Compliance Officer
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About 1exchange
1exchange ("1X") is the first MAS-licensed private markets exchange in Singapore offering a "light-touch" and cost-effective private listing venue designed for family businesses, and growth and pre-IPO companies. A member of FOMO Group, the exchange provides companies with market-oriented solutions such as direct private listings. With a 1X listing, founders, owners, and growth-stage companies can achieve partial exits and tradability in private shares while retaining flexibility and control.
Visit for more information. For general inquiries, please contact .exchange. For media inquiries, please contact .exchange.
Key Responsibilities:
- Perform gap analysis on new/updated regulations which are applicable to CapBridge and 1X
- Drafting & Implementation of Compliance procedures
- Licensing of representatives, including monitoring of employee dealing activities and related party transactions
- Conduct KTT/KYC for customers, counterparties and issuers during onboarding
- Conduct periodic reviews (including trigger reviews) on customers
- Clearing of name screening alerts for customers
- Monitoring of dormant accounts
- Assist HOC in implementing the sales and digital advisory process to cater to retail clients
- Assist HOC in performing the EWRA in conjunction with Operational Risk Management
- Escalating compliance issues to HOC following results of Compliance reviews
- Assist HOC in Group related alignment IT projects, including participating in UAT
- Assist HOC in collating information needed for reporting and audit purposes
- Collaborate with the Group business units to foster a positive compliance and governance culture through effective compliance awareness, engagement, advisory and monitoring programs
Requirements:
- Diploma/Degree in Accountancy, Finance or Business or other relevant qualification
- Minimum 3-5 years of Capital Markets/Insurance/Trust/Private Market/Real World Assets (RWAs) experience in the Financial industry
- Able to perform due diligence during onboarding with experience in conducting KYC with good understanding on SOW /SOF
- Good understanding of MAS' AML/CFT regulatory requirements
- Proactive and problem-solver who is creative, with ability to adapt and improvise accordingly
- Meticulous and sensitive in handling clients' information
- Ability to work effectively under pressure in a team environment
- Excellent interpersonal and communication skills (Candidate is expected to collaborate with different Business Teams)
- Diligent and firm with high ethical standards
Compliance Officer
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About CapBridge
CapBridge, a member of FOMO Group, is a leading digital investment platform headquartered in Singapore. As a Capital Markets Services licensee, CapBridge is regulated by the Monetary Authority of Singapore (MAS) to offer top-tier funds, digital asset funds, stocks, bonds, equities, and arrange life insurance products. It provides mass affluent, HNWIs, and institutional clients with seamless access to both private and public markets, meeting clients' diverse asset allocation needs.
For more information, please visit . For media inquiries, please contact .
Key Responsibilities:
- Perform gap analysis on new/updated regulations which are applicable to CapBridge and 1X
- Drafting & Implementation of Compliance procedures
- Licensing of representatives, including monitoring of employee dealing activities and related party transactions
- Conduct KTT/KYC for customers, counterparties and issuers during onboarding
- Conduct periodic reviews (including trigger reviews) on customers
- Clearing of name screening alerts for customers
- Monitoring of dormant accounts
- Assist HOC in implementing the sales and digital advisory process to cater to retail clients
- Assist HOC in performing the EWRA in conjunction with Operational Risk Management
- Escalating compliance issues to HOC following results of Compliance reviews
- Assist HOC in Group related alignment IT projects, including participating in UAT
- Assist HOC in collating information needed for reporting and audit purposes
Collaborate with the Group business units to foster a positive compliance and governance culture through effective compliance awareness, engagement, advisory and monitoring programs
Requirements:
- Diploma/Degree in Accountancy, Finance or Business or other relevant qualification
- Minimum 3-5 years of Capital Markets/Insurance/Trust/Private Market/Real World Assets (RWAs) experience in the Financial industry
- Able to perform due diligence during onboarding with experience in conducting KYC with good understanding on SOW /SOF
- Good understanding of MAS' AML/CFT regulatory requirements
- Proactive and problem-solver who is creative, with ability to adapt and improvise accordingly
- Meticulous and sensitive in handling clients' information
- Ability to work effectively under pressure in a team environment
- Excellent interpersonal and communication skills (Candidate is expected to collaborate with different Business Teams)
- Diligent and firm with high ethical standards