Risk and Compliance Officer
Hong Kong, HK

Bring your career aspirations to life with AIA!

Responsible for assisting management on monitoring and evaluating the Company’s risk governance framework to ensure that risks are identified, assessed, managed and governed appropriately.

Review reinsurance transactions with business units and provide risk management advices so that the final deals are risk-bound.

Responsible for the overall design, implementation and ongoing enhancement of the Company’s Compliance Program, including a compliance plan and related policies and procedures whilst ensuring its alignment with business objectives and the Group Compliance policies, programs and strategic directions.

Driving and overseeing implementation of AIA Re’s Compliance Risk Management Framework with a focus on AML / CTF, Data Privacy, Anti-Corruption, FATCA and Common Reporting Standard.

Roles and Responsibilities :

Provide risk oversight, challenge and analytical insights for the Company over all risk-taking activities, through consistent identification, measurement and application of risk management techniques that are consistent with the Group’s Risk Appetite and regulatory constraints.

Also to ensure that the risk-related requirements of the BMA Code of Conduct is complied with.

Support decision making of the Company’s Board and ARC Committee by preparation of CISSA, annual risk plan and other risk management reports.

Lead and participate in risk-related ad-hoc projects based on senior management or Group Office requests or external developments.

Take lead in designing and implementing the Compliance Framework as well as Policies and Guidelines Formulation and Review at the Company.

Conduct compliance training and communicating compliance obligations to embed a culture of compliance and ethics within the Company.

Escalate key risks and actual / potential non-compliance incidents to the Head of Regulatory Compliance and ensure incidents are managed effectively.

Monitor implementation of corrective actions to remediate any identified deficiencies.

Ensure timely and quality reporting to Group Compliance on regular basis with relevance to Regulatory Compliance framework and other related internal reports such as to the Company’s Executive Committee, Audit Committee, Risk Committee and Board.

Performs other responsibilities and duties periodically assigned by supervisor in order to meet operational and / or other requirements.

Minimum Job Requirements :

Bachelor’s Degree in Actuarial Science or Finance with 5 years solid work experience in the Financial Services industry handling financial risk, compliance and / or controls.

In-depth understanding of the Reinsurance business preferred and, in lieu of insurance, financial services.

Good interpersonal and communication skills and self-motivated.

Good written and spoken communication skills.

Independent and be able to work under pressure.

Organized, detail-oriented and analytical.

Possess leadership, coaching and influencing skills; business acumen; and problem solving skills.

High level of integrity and takes ownership and accountability of results.

Prior experience with data analytics and data extraction tools would be useful.

The candidate will need to join calls early morning or late evening from time to time, to accommodate Bermuda timezone.


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