Glenn Seah

Managing Director And Head, Legal, Compliance & Corporate Secretariat at SGX Group

Glenn Seah has a diverse work experience spanning multiple industries. Glenn has held senior leadership roles at SGX, Allianz Insurance Singapore, TOUCH Community Services, and TOUCH Family Services. At SGX, they served as the Managing Director and Head of Legal, Compliance & Corporate Secretariat, providing leadership in legal, compliance, and corporate secretarial matters. Glenn also worked as the Senior Vice President and Head of Compliance, overseeing compliance risks across various functions. Prior to their time at SGX, Glenn worked at Standard Chartered Bank as the Regional Head of Wholesale Bank Compliance for South-East Asia, and later as the Head of Wholesale Bank Compliance in Singapore. Glenn has also worked at SGX as the Head of Enforcement and the Head of Market Surveillance. Before transitioning to the private sector, Glenn worked at the Attorney-General's Chambers in Singapore as a Deputy Public Prosecutor/State Counsel, handling a wide range of cases and playing a key role in updating legislation.

Glenn Seah completed their LLB degree in Law at the National University of Singapore from 1995 to 1999. Glenn also obtained a Diploma in Compliance from the International Compliance Association in 2008. In 2017, they completed the Advanced Management Program in Business Administration and Management from Harvard Business School Executive Education. Glenn has also obtained certifications including Certified Anti-Money Laundering Specialist (CAMS) from ACAMS in 2015 and IBF Advanced (IBFA) for Compliance from the Institute of Banking and Finance in 2013.

Links

Previous companies

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Peers

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Timeline

  • Managing Director And Head, Legal, Compliance & Corporate Secretariat

    January, 2016 - present

  • Senior Vice President, Head Of Compliance

    February, 2012

  • Head, Enforcement

    October, 2009

  • Head Market Surveillance

    October, 2008

  • Vice President - Office Of CEO

    November, 2007

  • Vice President - Regulatory Policy

    May, 2006

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