Market Conduct Group
• Capital Markets Department
• Capital Markets Intermediaries Department
The Capital Markets Department comprises 5 divisions, namely, Corporate Finance, Markets & Clearing Houses, Enforcement, Market Conduct Policy and Consumer Issues.
The Corporate Finance Division regulates corporate fundraising, takeovers and mergers, offers of collective investment schemes including real estate investment trusts and regulation of trust companies. Work is transaction-based and often within tight timeframes. You will be immersed in a fast paced environment that demands quick turnarounds without compromising standards.
The Markets & Clearing Houses Division is responsible for supervision of the Singapore Exchange, and other exchange operators and clearing houses. We aim to promote orderly, transparent and fair markets, as well as to formulate policies to enhance Singapore’s regulatory framework for a rapidly evolving capital market.
The Enforcement Division enforces the civil penalty regime for market misconduct under the Securities and Futures Act. You will be part of the team that conducts investigation into suspected market misconduct activities and prepare cases for court. For the individuals who are driven by the excitement of investigative work, this will be the place for you.
The Market Conduct Policy Division provides the opportunity for individuals to engage in market policy formulation on a wide spectrum of market conduct issues. There is never a dull moment as we test the individual’s abilities to come up with creative solutions to meet and respond to the fast-changing dynamics of the financial markets. We are looking for individuals with strong project management skills and who are independent and confident.
At the Consumer Issues Division, you help empower Singaporeans in financial matters. Individuals who possess a passion for financial education and an endless zeal to both listen and make changes or improvements through consumer education will find the work here truly rewarding.
The Capital Markets Intermediaries Department is responsible for the supervision of capital market intermediaries - including broker-dealers, fund managers, corporate finance advisers, financial advisers, insurance brokers and trust companies - in our growing and dynamic capital markets. We recruit people who are motivated, independent and work well in a team. You should be confident, analytical and possess strong interpersonal skills when dealing with demanding and challenging situations. The ability to work at the conceptual and operational levels is also necessary in order to be an effective regulator.
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