We’re looking for a candidate to fill this position in an exciting company.
You wlll be responsible for all regulatory and statutory compliance related matters such as AML/FCC, liaision with industry regulatory bodies (MAS/LIA) and relevant committee within the group, supporting and managing day-to-day relationshp, providing regulatory oversight to ensure a consistent framework and maintaining an appropriate level of awareness and controls. You will ensure the group operates within an approprate risk management framework, support the Group Risk Director in the implementation of group wide risk target operating model and providing management and the board with concise reports to support risk-based decision making.
Degree in Banking/Finance or in any relevant discipline with at least 8-10 years of risk and regulatory compliance experience within the life insurance sector. In order to succeed in this role, you should possess the ability to present complex problems in a concise manner and the ability to influence stakeholders.