Job Responsibilities:
Evaluate the impact of new or revised regulatory updates in collaboration with relevant Business Units, including Consultatio..
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).