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Closing Date: 18th November 2019
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Vance Group Ltd
Vance Group is a diversified business group headquartered in Singapore. Our companies are involved in manufacturing and trading of chemicals and oleochemicals in Malaysia and Singapore.  The Vance Group is on an exciting and aggressive growth path, and is looking for an energetic, result-oriented and "can do" individual to join us.
Compliance Officer

Salary: 123

Location: City Hall Area (Stamford Court)

Title: Compliance Officer

 

Responsibilities

  • Ensure that the group conducts its business in full compliance with all national and international laws and regulations and standards that are relevant to its industry
  • Implement and manage an effective compliance program
  • Establish professional standards, best business practices, and internal systems of control
  • Develop and periodically review company policies and procedures
  • Assess company operations to determine compliance risk
  • Oversee and monitor the application, renewal and continuing obligations arising from all business licenses, permits and certifications
  • Regularly audit company procedures, practices, and documents to identify possible weaknesses or risk and preempt any business disruption due to non-compliance
  • Perform periodic reviews to assess the effectiveness and efficiency of internal controls across the group
  • Detect, identify and conduct investigations of compliance issues and potential fraud activity
  • Create and manage effective corrective/preventive action plans in response to audit discoveries and compliance violations
  • Undertake special projects, adhoc audits, process reviews, fraud investigation or similar on request
  • Provide training and support to employees for a better understanding of potential risks and compliance issues. Inculcate a culture of risk management across the group
  • Manage regulatory matters, including relationships and correspondence with regulators, regulatory audits and queries, implementation of changes pertaining to new regulations, licensing and filings
  • Develop risk management strategies and monitor the group’s overall trading and hedging exposure
  • Ensure compliance with ISCC/RSPO/MSPO/other sustainability certification schemes
  • Ensure compliance with national and multinational sanctions programs and anti-money laundering regulations

 

Requirements

  • Diploma/Business Degree in Accounting/ Finance/ Law/ Business Administration/ Economics/ ICT/ MIS or related discipline, with minimum 4-5 years’ experience in compliance and risk management role within the palm oil, oleochemical, energy, petrochemical, chemical or commodity industry
  • Relevant compliance, audit or risk management certifications preferred
  • Proficient in MS Office applications especially Excel
  • Dynamic, self-motivated and persevering
  • Possess strong analytical and problem-solving skills
  • Possess excellent communication and interpersonal skills
  • Demonstrates strong sense of initiative with the ability to work independently and as a team player
  • Meticulous and takes strong pride in the quality of one’s work
  • Results-oriented and able to abide by tight deadlines with a strong sense of responsibility

 

Please email your resume to recruiting@vancegroupltd.com.  Please include current and expected salary, notice period and reasons for leaving current or past employment.

 





 
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