Company Overview ICM Global Funds Pte. Ltd., based in Singapore, is a licensed fund management company managing diverse asset classes with a focus on sustainable investing and ESG integration. It operates globally with a collaborative culture emphasizing integrity, innovation, and long-term client value. Job Summary Join ICM Global Funds as a Risk and Compliance Manager in Singapore, leading compliance and risk oversight, regulatory liaison, and AML and data privacy functions to ensure robust governance and regulatory adherence across the firm and group. Responsibilities Oversee and implement risk control processes to safeguard firm operations and compliance integrity Develop, maintain, and update compliance frameworks, policies, and procedures aligned with evolving business needs Provide clear, pragmatic regulatory guidance to internal stakeholders and the wider ICM Group to ensure informed decision-making Monitor, analyze, and report on regulatory developments impacting firm operations and compliance obligations Act as the primary liaison with regulators and external compliance partners to manage licensing, registration, and regulatory inquiries Lead and manage the firm’s Anti-Money Laundering (AML) and data privacy programs, ensuring adherence to legal and regulatory standards Conduct regular compliance training sessions to enhance internal awareness and support ongoing education on regulatory requirements Manage licensing and registration obligations to maintain the firm’s good standing with regulatory authorities Required competencies and certifications Degree or higher in Business Administration, Accounting, Law, or related field Minimum 5 years of senior compliance experience within investment management, family office, or private equity environments Deep understanding and hands-on experience with MAS regulations and regulatory expectations in Singapore, preferably within a Variable Capital Company (VCC) environment Proven ability to design and implement effective risk and compliance programs Experience with KYC, EDD, AML, and Anti-Terrorism Financing (ATF) onboarding processes for investors and service providers Designated Money Laundering Reporting Officer (MLRO) or equivalent experience acting in this capacity Familiarity with data privacy laws and personal data protection responsibilities Proficiency in Microsoft Office applications (Word, Excel, PowerPoint) Preferred competencies and qualifications Strong commercial judgment to balance risk management with business objectives Entrepreneurial mindset with proactive problem-solving skills Excellent interpersonal skills to engage and influence stakeholders across multiple jurisdictions Strong written and verbal communication skills Experience working internationally or within a global organization