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Associate/Manager, Compliance

Kgi Securities (Singapore) Pte. Ltd.

D01 Marina, Raffles Place, People's Park, CecilPermanentS$5,000 – S$8,000/mo

Posted 20 Jul 2026

About this role

About The Company KGI Securities is a leading multi asset brokerage firm with presence across several countries in Asia and a pioneer member of the Securities & Derivatives, Trading and Clearing Member of Singapore Exchange, ICE Futures Singapore, ICE Clear Singapore, APEX and Abaxx. We hold a Capital Markets Services License, is regulated by the Monetary Authority of Singapore (MAS) and is also an equal opportunity employer. About The Job The duties of the Associate/Manager - Compliance officer will include providing regulations guidance and training, consultation of securities and futures trading laws, as well as timely update of relevant laws and regulations. It is also responsible for supervising the periodic self-assessment of legal compliance among all units. Job Responsibilities Provide compliance advisory support and guidance to back and front office regarding compliance with applicable laws, regulations and rules Conduct Compliance reviews and testing including trade surveillance, AML and BSC, and escalate any breaches of regulatory requirements or misconduct or company policies Develop compliance review programmes, self-assessment questionnaire and any other compliance programmes as may be required by Head of Department, front and back office, parent company, regulators and authorities Carry out any advisory, compliance tasks or projects as and when necessary as directed by the Head of Department Review and process registration of trading representatives Liaise with relevant regulators and Head Office on any major findings and other compliance reporting requirements Review and update policies and procedures Monitor for regulatory updates and ensure effective implementation of the revised regulatory requirements Carry out awareness briefing and staff training on regulatory requirements, company policies and procedures Any other ad-hoc responsibilities assigned Requirements Degree holder with minimum 5 years of relevant experience Familiarity with the relevant laws, regulations and exchange rules in the securities and/or futures market (SFA, FAA, SGX-ST Rules, Futures Trading Rules, Exchange Rules) Meticulous, positive attitude and pro-active Strong communication, interpersonal, analytical and organizational skills Team player yet able to work independently and interact with people at all levels Relevant experience in brokerage firms, financial institutions, public accounting firms are encouraged to apply

What they're looking for

Financial SectorStaff TrainingFutures TradingBrokerage

About Kgi Securities (Singapore) Pte. Ltd.

Industry: Financial & insurance

Frequently asked questions

What does a Associate/Manager, Compliance at Kgi Securities (Singapore) Pte. Ltd. do?

About The Company KGI Securities is a leading multi asset brokerage firm with presence across several countries in Asia and a pioneer member of the Securities & Derivatives, Trading and Clearing Member of Singapore Exchange, ICE Futures Singapore, ICE Clear Singapore, APEX and Abaxx. We hold a Capit…

What skills does this Associate/Manager, Compliance role need?

Key skills for this role include Financial Sector, Staff Training, Futures Trading, Brokerage.

How much does a Associate/Manager, Compliance at Kgi Securities (Singapore) Pte. Ltd. pay?

This role lists a salary of S$5,000 – S$8,000 per month.

Is this Associate/Manager, Compliance role remote, hybrid, or on-site?

The listing is based in D01 Marina, Raffles Place, People's Park, Cecil. Check the posting for remote or hybrid options.

How do I apply for this Associate/Manager, Compliance role?

You can apply directly on Kgi Securities (Singapore) Pte. Ltd.'s careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.