Head of Compliance Description The key responsibilities for this position are as follows : Oversee the insurance business on all regulatory, investment compliance and market conduct risk matters.
Develop programs to enhance overall compliance culture, communication and ethics within the firm. Design internal policies and procedures to facilitate compliance with laws, regulations and firm's policies and procedures.
Manage various sub-teams and work closely with CEO and senior business leaders on strengthen the Compliance function. Take responsibility on making discussion on Group Compliance’s strategic directions and structuring & leading the function.
Worked with the Global and Regional offices on new implementation projects. Build long-term relationships with MAS. Keep up-
to-date with regulatory changes and the impact on the business. Successful applicants will have the following skills and experience : University graduate in Business, Economic, Law or relevant subjects.
Minimum of 12 years’ experience working in a compliance role within the insurance sector. Min. 5 years of Senior Management position.
Extensive knowledge of Financial Services legislation and regulations in Singapore. Good understanding of insurance regulations and products.
Outstanding people management skills and great at stakeholder management. Excellent communication, analytical and presentation skills.
Good command of spoken and written English and Chinese. Country Hong Kong Company Insurance Salary US$80,000 - US$150,000 Working Hours Full-
Time Contract Permanent Categories Management / Regulatory Reporting, Insurance / Actuary, Investment / M&A / Portfolio Mgt, Compliance / AML, Private Practice, Regulatory Affairs Industries null