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Regulatory Compliance Manager - Capital Markets

Coinbase

Regulatory Compliance Manager - Capital Markets

full-timePosted: Aug 26, 2026Updated: Sep 3, 2026Remote - Singapore (Remote)

Job Description

Ready to do the most impactful work of your career? At Coinbase, we are uncompromising on our mission to increase economic freedom. The bar is high, the environment is intense, and we like it that way. This isn't a place for complacency, it’s a place to be pushed past your perceived limits. If you're ready to build the future of finance alongside people who refuse to settle for "good enough," you belong here. Coinbase is a remote-first, but not remote-only company. Expect to get together quarterly for intense in-person working sessions called “surges.” learn more about working at Coinbase.Coinbase Singapore is building a robust, scalable compliance function in support of our Monetary Authority of Singapore (MAS) regulatory obligations. As Compliance Manager, you will partner with the Singapore CCO and cross-functional stakeholders across Compliance, Legal, Risk, Product, and Operations to advance our Capital Markets Services (CMS) licensing program and maintain a compliance framework aligned with MAS expectations. While many roles at Coinbase are remote-first, we are not remote-only. In-person participation may be required throughout the year at team and company-wide events to foster collaboration, connection, and alignment. What You'll Do Drive end-to-end project management for the CMS license application workstream, maintaining action logs, tracking dependencies, escalating blockers, and ensuring timely, high-quality deliverables. Own preparation of regulatory submissions, governance materials, and supporting documentation for the CMS application, including coordinating responses to MAS follow-up queries. Draft, update, and maintain Singapore-specific compliance policies, procedures, controls descriptions, and governance documentation aligned with MAS requirements and SFA obligations. Strengthen Coinbase Singapore's AML/CFT, sanctions, and regulatory compliance framework in line with applicable MAS rules, notices, and guidelines. Prepare written materials for senior management, the Board, auditors, and regulators, including governance decks, risk assessments, gap analyses, and regulatory briefing papers. Track regulatory commitments, licensing conditions, and remediation actions from internal reviews, audits, or regulatory feedback, ensuring corrective actions are completed on time. Support regulatory inspections and information requests by organizing documentation, validating evidence, and preparing accurate, concise responses. Lead compliance training and awareness initiatives, maintaining training materials and delivering risk-based training to relevant stakeholders. Required Skills & Experience 10+ years of experience in regulatory compliance and financial crime compliance at a MAS SFA-regulated Singapore entity. Direct experience supporting regulatory license applications, major regulatory change programs, or supervisory engagements in Singapore. Strong knowledge of the MAS Securities and Futures Act and corresponding rules, regulations, notices, and circulars. Experience drafting compliance policies, procedures, regulatory submissions, governance papers, and formal compliance documentation. Strong program management skills with the ability to manage multiple workstreams, stakeholders, and competing deadlines with minimal oversight. Proven ability to synthesize complex regulatory issues into clear written analysis and actionable recommendations for senior stakeholders. Track record of effective cross-functional collaboration across Compliance, Legal, Product, Operations, and Risk. Excellent written and verbal communication skills with strong attention to detail. Bachelor's degree or equivalent practical experience in law, finance, business, or a related field. Utilizes generative AI responsibly, maintaining human oversight to deliver business-ready outputs and drive measurable improvements in workflow efficiency, cost, and quality. P77910Pay Transparency Notice: The target annual base salary for this position can range as detailed below. Total compensation may also include equity and bonus eligibility and benefits (including medical, dental, and vision).Annual base salary range (excluding equity and bonus):$200,900—$200,900 SGD Application Limit: Candidates may submit a maximum of 3 applications within a 6-month period. Equal Opportunity Employer: Coinbase is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, protected veteran status, or genetic information. Applicants with criminal histories will be considered consistent with applicable federal, state, and local laws. US Applicants: View Employee Rights, Know Your Rights, and E-Verify Notice of Participation. Accommodations: If you are an individual with a disability who needs a reasonable accommodation, email us your request and contact info at accommodations[at]coinbase.com. Need screen reading technology? Click here to download a free compatible screen reader and view the tutorial. Data Privacy & Arbitration: By submitting your application, you agree to our Candidate Privacy Notice. US applicants: By submitting your application, you agree to Arbitration of Disputes.

Locations

  • Remote - Singapore (Remote)

Salary

200,900 - 200,900 USD / yearly

Skills Required

  • regulatory complianceintermediate
  • MAS Securitiesintermediate
  • lawintermediate

Required Qualifications

  • 10+ years of experience in regulatory compliance and financial crime compliance at a MAS SFA-regulated Singapore entity. (experience, 10 years)
  • Direct experience supporting regulatory license applications, major regulatory change programs, or supervisory engagements in Singapore. (experience)
  • Strong knowledge of the MAS Securities and Futures Act and corresponding rules, regulations, notices, and circulars. (experience)
  • Experience drafting compliance policies, procedures, regulatory submissions, governance papers, and formal compliance documentation. (experience)
  • Strong program management skills with the ability to manage multiple workstreams, stakeholders, and competing deadlines with minimal oversight. (experience)
  • Proven ability to synthesize complex regulatory issues into clear written analysis and actionable recommendations for senior stakeholders. (experience)
  • Track record of effective cross-functional collaboration across Compliance, Legal, Product, Operations, and Risk. (experience)
  • Excellent written and verbal communication skills with strong attention to detail. (experience)
  • Bachelor's degree or equivalent practical experience in law, finance, business, or a related field. (experience)
  • Utilizes generative AI responsibly, maintaining human oversight to deliver business-ready outputs and drive measurable improvements in workflow efficiency, cost, and quality. (experience)
  • Pay Transparency Notice: The target annual base salary for this position can range as detailed below. Total compensation may also include equity and bonus eligibility and benefits (including medical, dental, and vision). (experience)
  • Application Limit: Candidates may submit a maximum of 3 applications within a 6-month period. (experience)
  • US Applicants: View Employee Rights, Know Your Rights, and E-Verify Notice of Participation. (experience)
  • Data Privacy & Arbitration: By submitting your application, you agree to our Candidate Privacy Notice. US applicants: By submitting your application, you agree to Arbitration of Disputes. (experience)

Responsibilities

  • Drive end-to-end project management for the CMS license application workstream, maintaining action logs, tracking dependencies, escalating blockers, and ensuring timely, high-quality deliverables.
  • Own preparation of regulatory submissions, governance materials, and supporting documentation for the CMS application, including coordinating responses to MAS follow-up queries.
  • Draft, update, and maintain Singapore-specific compliance policies, procedures, controls descriptions, and governance documentation aligned with MAS requirements and SFA obligations.
  • Strengthen Coinbase Singapore's AML/CFT, sanctions, and regulatory compliance framework in line with applicable MAS rules, notices, and guidelines.
  • Prepare written materials for senior management, the Board, auditors, and regulators, including governance decks, risk assessments, gap analyses, and regulatory briefing papers.
  • Track regulatory commitments, licensing conditions, and remediation actions from internal reviews, audits, or regulatory feedback, ensuring corrective actions are completed on time.
  • Support regulatory inspections and information requests by organizing documentation, validating evidence, and preparing accurate, concise responses.
  • Lead compliance training and awareness initiatives, maintaining training materials and delivering risk-based training to relevant stakeholders.

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