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You will provide controls advisory and support for Investment and Insurance Client Advisory activities, ensuring a strong control environment for the wealth management and advisory business. Your work includes reviewing new products and initiatives, implementing policy and regulatory changes, supporting audits, and managing cross-border activity controls. You will work closely with internal and external stakeholders such as Product and Client Advisory teams, Sales Management, Legal and Compliance. As part of the First Line of Defense, you will build trusted relationships with frontline staff, process owners, and control colleagues. You will also coordinate regulatory reporting to MAS and support Fair Dealing and Sales Practice Risk matters.
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