Job Responsibilities:
Reporting to the CEO, you shall be responsible to
- Act as a central point of contact for local and regional regulatory issues
- Oversee and ensure compliance with all MAS regulations
- Monitor sanctions developments and their impact on the business
- Lead or participate in compliance review covering key aspects of the Company’s operations to ensure adherence to the Group’s policies, operating procedures and regulatory requirements
- Provide necessary compliance trainings to staff
- Formulate the Compliance and Governance strategy (including Enterprise Risk Management - ERM)
- Work closely with the Head of Departments on sales, partnership, non-disclosure, PDPA agreements and other contracts
- Perform evaluations on compliance activities, present and report non-compliance and risk issue findings to the management
Job Requirements:
- Degree Holder in Finance/Accountancy, Law, Corporate Governance or equivalent
- At least 6 years of relevant working experience preferably in the Insurance/ financial industry
- Strong knowledge of MAS regulatory
- Excellent communication, presentation and interpersonal skills
- Able to work independently under pressure and tight datelines
- Self-motivated with a high level of integrity and drive