Job Responsibilities:
- Evaluate the impact of new or revised regulatory updates in collaboration with relevant Business Units, including Consultation Papers and internal, external, and regulatory reporting.
- Ensure regulatory compliance within the Division by conducting Compliance Requirements Self-Assessment.
- Investigate and report compliance, operational, fraud, and data incidents, ensuring timely resolution of action plans.
- Establish and maintain an effective risk management and governance framework, offering guidance on applicable policies, guidelines, and frameworks.
- Collaborate with stakeholders from various departments within the Company to address risk and compliance matters promptly.
- Coordinate internal and external audits, as well as regulatory inspections.
- Provide Group Risk Management policy, guideline, and framework training to Division staff, sharing best risk management practices.
- Ensure adherence to data policies and standards across the Division as the Division’s Data Steward.
- Take responsibility for identifying and mitigating business and regulatory compliance risks.
Job Requirements:
- Bachelor's degree in Insurance, Business, or equivalent professional qualifications.
- Minimum of 5 years of experience in compliance and risk management, preferably in the insurance industry.
- Proficiency in Microsoft Office applications (Excel, Word, PowerPoint).
R22104464
EA: 19C9859