The REIT Compliance Officer role offers the opportunity to play a key part in supporting compliance activities across private real estate investment and asset management businesses. This position is ideal for a compliance professional who enjoys working closely with stakeholders, interpreting regulatory requirements, and helping to maintain a strong compliance culture within a regulated financial services environment.
Responsibilities
Support compliance activities for private real estate investment and asset management businesses.
Help develop and maintain compliance policies, procedures, and controls.
Monitor regulatory developments and update compliance processes where required.
Manage AML/CFT, conflict of interest, and corporate relationship information processes.
Review marketing and promotional materials to ensure compliance with applicable regulations and internal standards.
Deliver compliance training and provide guidance to employees across the business.
Liaise with regulators and support regulatory reporting, enquiries, and examinations.
Requirements
Experience in compliance within a private real estate fund, REIT manager, asset manager, or other financial institution.
Knowledge of financial services regulations and compliance requirements.
Understanding of investment funds, asset management, or real estate investment businesses.
Knowledge of the Financial Instruments and Exchange Act (FIEA).
Ability to identify compliance risks and provide practical guidance.
Strong communication and stakeholder management skills.
Strong analytical skills and attention to detail.
Native-level Japanese and intermediate English.
Benefits
Health insurance
Employee pension insurance
Employment insurance
Workers’ compensation insurance
Childcare support services
Elderly care support services
Leisure support programmes
E-learning opportunities
Health and wellbeing support services
About the company
A company in the investment management industry, this organisation is engaged in investment management, investment advisory and agency services, and Type II Financial Instruments Business activities. The company operates within a regulated financial services environment and focuses on investment and asset management-related services.