Established in 2017, QCP is one of the first digital asset trading firms in Singapore, with a vision to partner the next generation of investors to unlock institutional opportunities in digital assets.
QCP brings to clients deep expertise gained from thriving through multiple market cycles. A global market maker in digital asset derivatives with a vast network of liquidity providers and counterparties, we are shaping the future of digital asset markets through greater access and efficiency.
We offer a range of tailored derivatives and spot trading as well as structured solutions to institutional, professional and accredited investors. We also provide 24/7 liquidity across various markets in partnership with various exchanges and platforms.
QCP is headquartered in Singapore and is supported by a strong team of professionals in trading, business development, operations, risk and compliance teams.
Our in-house publications track the constantly evolving state of digital assets and markets, and can be accessed on our Telegram (t.me/QCPbroadcast), website (qcpgroup.com), Twitter (@qcpgroup) and LinkedIn.
Responsibilities:
Recognize and identify risk control points to compliance processes, including AML-CFT risk ratings, KYC onboarding, ongoing screening and maintenance of customer business relationships, and transaction monitoring
Implementation of testing frameworks to provide assurance that compliance processes are adequately robust and are being carried out in line with the companys policies
Working with the Regional Head of Compliance to identify and map the current compliance operational processes against regulatory requirements across multiple jurisdictions
Independently assess and recommend enhancements, reviews, recalibration of system parameters with justification and documentations
Preparation and monitoring of key risk indicators for presentation to management, following up with remediation(s) and/or process improvement initiatives
Keeping abreast of regulatory changes, new regulations, and internal policy changes to further identify new key risk areas.
Handle periodic internal and external audit requests, serving as the single point of contact and bridging the audit team with respective local MLROs
Manage group-wide exercises and coordinating with the relevant stakeholders on items such as enterprise-wide risk assessment, business continuity testing and technology risk management
Assist the Regional Head of Compliance in the preparation and ownership of group-level AML-CFT frameworks and processes
Serve as the liaison point for RFIs from counterparties and financial institutions, assisting with investigations and preparation of responses on an ongoing basis
Requirements
Deep knowledge of the end-to-end compliance process, governance, and risk controls
Minimum 5-7 years of experience within a bank with coverage in Financial Markets products
Strong interpersonal skills with the ability to work collaboratively and with people at all levels of the organization
Strong written and verbal communication and interpersonal skills
Advanced analytical skills and cognitive process
Ability to both work independently and collaborate with team members
Excellent project management and organizational skills and capability to handle multiple projects and portfolios
Indomitable attitude and strong desire to succeed
ACAMS, ICA certification, and/or formal legal training mandatory, web3/crypto compliance knowledge will be a huge plus
Benefits
The Environment We Offer
As a growing firm with a tightly-knit team, we respect and listen to all our employees. You will get the chance to make an impact by having your voice heard by everyone, including the management.
Our employees enjoy a high level of autonomy at work. We focus on substance, not form - as long as you can perform, you will be recognized and rewarded. We are also dedicated to supporting our staff and ensuring they develop holistically to maximize their potential in the long- term.
We also provide flexible working arrangement as required and a casual and fun environment to boot!