Head of Compliance Division

Hanwha Life Indonesia

Jakarta Pusat

On-site

IDR 1,800,000,000 - 3,200,000,000

Full time

14 days+
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Job summary

Hanwha Life Indonesia is seeking an experienced Compliance Leader to head the Compliance Division and drive the function across Life Insurance products, bancassurance, and distribution channels.

The role focuses on defining the compliance strategy, engaging with regulators, and building a high-performing team to support sustainable business growth.

Qualifications

  • 10+ years of progressive experience in compliance and related roles.
  • Mandatory: experience in Life Insurance.
  • Minimum 5 years in managerial/senior leadership roles.
  • Certifications in Compliance, Risk Management, AML/CFT valued.

Responsibilities

  • Define and execute the Company's Compliance Strategy & Framework.
  • Provide independent compliance advice to BOD and Senior Management.
  • Lead regulatory engagement with OJK and relevant authorities.
  • Oversee Compliance Risk Management, AML/CFT, KYC.
  • Provide compliance oversight across Life Insurance Products, Bancassurance, Distribution, Agency, Sales & Marketing, Customer Protection, and Third-Party Arrangements.
  • Lead regulatory change management, compliance monitoring, and remediation.
  • Strengthen Compliance Culture and Governance across the organization.
  • Build and develop a strong, high-performing Compliance team.

Skills

Leadership
Regulatory compliance
AML/CFT
KYC
Governance
People management

Education

Bachelor's degree
Law background preferred

Job description

We are looking for an experienced Compliance Leader to join our organization and lead the Compliance function within a dynamic Life Insurance business.

This is a strategic leadership position with responsible for ensuring that regulatory compliance becomes an integral part of sustainable business growth.

As Head of Compliance Division, you will:

  • Define and execute the Company's Compliance Strategy & Framework.
  • Provide independent compliance advice and constructive challenge to BOD and Senior Management.
  • Lead regulatory engagement with OJK and relevant authorities.
  • Oversee Compliance Risk Management, AML/CFT, KYC.
  • Provide compliance oversight across Life Insurance Products, Bancassurance, Distribution, Agency, Sales & Marketing, Customer Protection, and Third-Party Arrangements.
  • Lead regulatory change management, compliance monitoring, and remediation.
  • Strengthen Compliance Culture and Governance across the organization.
  • Build and develop a strong, high-performing Compliance team.

We are looking for a leader with:

  • Bachelor’s degree in any discipline; background in Law is preferred.
  • 10+ years of progressive experience in Compliance, Regulatory Affairs, Risk, Legal, AML/CFT, or related functions within Financial Services.
  • Mandatory: Experience in Life Insurance / Insurance.
  • Financial Industry professionals are welcome to apply, particularly those with strong. experience in regulatory compliance, AML/CFT, KYC, consumer protection, governance, and OJK requirements.
  • Minimum 5 years in managerial / senior leadership roles.
  • Relevant professional certifications in Compliance, Risk Management, AML/CFT or related areas are highly valued.
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