Senior Analyst/ AVP, Quality Assurance, Compliance Department, Asia Pacific Division

Date:  Jul 27, 2026
Location: 

Singapore

Office Location:  CapitaSpring, Singapore

Job Responsibilities

 

1. Compliance and AML Quality Assurance Reviews

  • Conduct independent QA reviews and testing of Compliance and AML controls, processes and activities.
  • Assess compliance with applicable laws, regulations, Head Office policies, APAC guidelines and local procedures.
  • Identify control weaknesses, root causes, thematic issues and areas for improvement.
  • Escalate significant issues, breaches or potential breaches identified through QA activities.
  • Provide practical recommendations and track remediation actions to ensure timely and effective closure.
  • Maintain complete and accurate review documentation, supporting evidence and review trails.
  • Work closely with Compliance, AML, business and support functions to facilitate QA activities and follow-up actions.
  • Prepare clear, concise and risk-focused QA reports, dashboards and thematic analysis for management and stakeholders.

 

2. QA Program Management

  • Develop, maintain and enhance Compliance and AML QA programs, testing methodologies, templates and desk procedures to ensure alignment with regulatory requirements, policy changes and internal standards.
  • Support continuous improvement of QA planning, sampling, testing, reporting and issue-tracking processes.

 

3. Regional Assurance and Oversight

  • Review Compliance Self-Reviews and AML Independent Reviews conducted by APAC offices.
  • Assess the quality, consistency and effectiveness of review methodologies, findings, recommendations and follow-up actions.
  • Provide guidance and feedback on QA standards, review methodologies and control expectations to promote consistent practices across APAC offices.
  • Identify thematic risks, emerging issues, good practices and opportunities to strengthen the regional assurance framework.
  • Support regional initiatives to enhance assurance standards, reporting discipline and control effectiveness.

 

Job Requirements

  • University degree or higher; ACAMS, ICA or equivalent certification preferred.
  • Minimum 3 - 5 years’ experience in QA, Compliance, AML, Internal Audit, Risk Management or related control function within a bank or financial institution.
  • Strong knowledge of AML/CFT, sanctions, corporate compliance requirements and assurance, testing or audit methodologies.
  • Experience in assurance program management, regional oversight activities and/or stakeholder engagement would be advantageous.
  • Experience or knowledge in specialised areas such as IT Compliance, Technology Risk, Data Analytics, ESG Compliance, Financial Crime Compliance would be advantageous
  • Strong analytical, drafting, problem-solving and stakeholder management skills – having good communications skills, with ability to navigate multiple organizations and find common ground.
  • Good understanding of Microsoft Excel and data analytics, reporting and dashboard tools.
  • Able to manage multiple priorities, workstreams, senior stakeholders and time-sensitive deliverables.
  • Collaborative, and team oriented
  • High level of integrity, attention to detail, ownership, and accountability

 

(This is a 12 months contract role)