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Assistant Manager / Manager – Regulatory Compliance

Etiqa Insurance Pte. Ltd.

Singapore

On-site

SGD 70,000 - 90,000

Full time

4 days ago
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Job summary

Etiqa Insurance seeks a dynamic compliance professional passionate about regulatory matters. Join a leader in the insurance sector and ensure adherence to regulatory requirements while supporting various compliance activities. The role requires a diploma or degree and a minimum of 5 years experience in financial institutions, ideally within insurance compliance.

Qualifications

  • Min 5 years of working experience within Financial Institution in the areas of regulatory compliance.
  • Audit, compliance or relevant exposure in insurance industry valued.

Responsibilities

  • Ensure regulatory requirements adherence and support compliance reporting.
  • Coordinate regulatory visits and manage rectification progress.
  • Determine and implement compliance policies and procedures.

Skills

Regulatory knowledge of PDPA and CRS/FATCA
Good stakeholders management skills
Good time management
Strong ownership of tasks
Planning and goal setting

Education

Diploma or Degree qualification in related fields

Job description

About the job

Etiqa is looking for a dynamic individual to join our team. Do you have what it takes?

Are you:

  • Passionate about working with people?

  • A creative thinker with a positive attitude & outlook?

  • A strong dynamic communicator able to collaborate effectively?

  • Willing to learn, adapt & grow in a fast paced work environment?


WANT TO MAKE A DIFFERENCE?

This exciting proposition allows you to work with Etiqa, a leader in the insurance sector, optimizing your unique skill set, and getting onboard our journey towards “Making The World A Better Place”.

SCOPE OVERVIEW

  • Ensure regulatory requirements are fully adhered to in respect of regulatory monitoring, implementation and reporting.

  • Co-ordinate regulatory visits and follow up with findings rectification progress to ensure rectification actions are carried out within the committed timeline by the various business owners.

  • Support regulatory reporting, Board and management reporting activities on compliance matters.

  • Support product and marketing materials governance.

  • Determine and implement compliance policies and procedures.

  • Ensure staff awareness in relation to relevant regulatory requirements.

  • Provide advisory services in relation to regulatory compliance issues to the business units.

  • Any other ad-hoc duties as assigned by Head, Compliance and Head, Regulatory Compliance.

REQUIREMENTS

  • Diploma or Degree qualification in related fields.

  • Min 5 years of working experience within Financial Institution in the areas of regulatory compliance.

  • Audit, compliance or relevant exposure in the insurance industry.

  • Regulatory knowledge of PDPA and CRS/FATCA is an advantage.

  • Strong ownership of task assigned

  • Good time management, planning and goal setting

  • Able to work independently and in a team.

  • Good stakeholders management skills

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