• Ensure compliance with regulations, industry and company guidelines
• Keep abreast of industry changes, trends, and best practices and assess the potential impact of these changes on company’s processes
• Advise Management in all areas of compliance
• Direct the development or implementation of compliance-related policies and procedures, and ensure that they are effectively communicated
• Assess product, compliance, operational or other related risks, and develop risk management strategies
• Design and implement improvements in communication, monitoring, and enforcement of compliance standards, controls and preventive actions
• Assist the HOD in Audits/reviews, Compliance training, AML/CFT - related monitoring and reviews
• Complaints Handling and Investigation

• Candidate must possess at least a Degree qualification
• Good knowledge and understanding of corporate governance, regulatory compliance and familiar with organizational best practices
• Good knowledge of the MAS and FAA rules and regulations
• At least 4 years’ relevant experience in financial services sector compliance (life insurance industry preferred)
• Independent, resourceful, meticulous, adaptable, ability to work under pressure, positive work attitude
• Strong analytical, organizational, interpersonal and influencing skills

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