Regulatory Compliance Lead

Etiqa Insurance Singapore

Singapore

On-site

SGD 150,000 - 210,000

Full time

14 days+
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Job summary

Etiqa Insurance Singapore is seeking a dynamic Regulatory Compliance Lead to support the Head of Compliance in maintaining a robust regulatory framework and ensuring adherence to applicable laws, regulations and industry standards. You will collaborate with stakeholders across the business to manage regulatory change and strengthen governance and privacy practices.

The role oversees regulatory submissions, issues, and advisory services, supporting privacy programs and governance across the

Qualifications

  • At least 8 years of experience in regulatory compliance, risk management, governance or audit within financial services.

Responsibilities

  • Monitor and assess regulatory developments and coordinate implementation of regulatory changes across the organisation.
  • Maintain oversight of regulatory obligations and support compliance monitoring activities.
  • Coordinate regulatory submissions, notifications, inspections and regulatory engagements.
  • Manage regulatory issues, compliance incidents and remediation activities.
  • Provide practical, risk-based compliance advice to business and support functions.
  • Support the Company's privacy and data protection framework, including PDPA-related matters.
  • Prepare compliance reports and papers for Management, Board Committees and the Board.

Skills

Analytical skills
Communication skills
Stakeholder management

Job description

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”.

ABOUT THE ROLE

We are seeking an experienced Regulatory Compliance Lead to support the Head of Compliance in maintaining a robust regulatory compliance framework and ensuring compliance with applicable laws, regulations and industry standards. This role will partner closely with stakeholders across the business to manage regulatory change, provide compliance advisory, oversee regulatory obligations, and strengthen governance and privacy practices.

SCOPE OVERVIEW
  • Monitor and assess regulatory developments and coordinate implementation of regulatory changes across the organisation.
  • Maintain oversight of regulatory obligations and support compliance monitoring activities.
  • Coordinate regulatory submissions, notifications, inspections and regulatory engagements.
  • Manage regulatory issues, compliance incidents and remediation activities.
  • Provide practical, risk-based compliance advice to business and support functions.
  • Support the Company's privacy and data protection framework, including PDPA-related matters.
  • Prepare compliance reports and papers for Management, Board Committees and the Board.
REQUIREMENTS
  • At least 8 years of experience in regulatory compliance, risk management, governance or audit within the financial services sector.
  • Insurance industry experience preferred.
  • Strong understanding of regulatory requirements and compliance frameworks.
  • Excellent analytical, communication and stakeholder management skills.
  • Ability to provide pragmatic, risk-based advice and manage multiple priorities in a dynamic environment.
Why Join Us?

This is an excellent opportunity to play a key role in shaping regulatory compliance, regulatory change management and governance within a leading insurance organisation while working closely with senior management and key stakeholders across the business.

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