MD, Head of Regulatory and Compliance
Jason is currently MD, Head of Regulatory and Compliance in Temasek. Jason is a highly regarded financial and corporate lawyer with experience across derivatives, banking and securities regulation, technology and data, commodities , carbon trading and private equity. He is trusted advisor to clients on a wide range of legal, regulatory, business, corporate strategy and governance issues. Jason has also experience in advising and working on restructurings and workouts, regulatory investigations for conduct and compliance issues (e.g. market misconduct), and drafting internal compliance procedures and codes. He has successfully led multiple regulatory change programs across diverse business areas and geographies. He has also been an active participant to various industry bodies and initiatives. Jason is qualified in England & Wales, Singapore, Malaysia and NSW and has practiced in a variety of in-house and practice roles in London, Singapore and Sydney. Immediately prior to joining Temasek, Jason was an MD in the JPMorgan where he held a number of senior legal positions in APAC and SEA.