Act as a central point of contact for local and regional regulatory issues
Oversee and ensure compliance with all MAS regulations
Monitor sanctions developments and their impact on the business
Lead or participate in compliance review covering key aspects of the Company’s operations to ensure adherence to the Group’s policies, operating procedures and regulatory requirements
Provide necessary compliance trainings to staff
Formulate the Compliance and Governance strategy (including Enterprise Risk Management - ERM)
Work closely with the Head of Departments on sales, partnership, non-disclosure, PDPA agreements and other contracts
Perform evaluations on compliance activities, present and report non-compliance and risk issue findings to the management
Job Requirements:
Degree Holder in Finance/Accountancy, Law, Corporate Governance or equivalent
At least 6 years of relevant working experience preferably in the Insurance/ financial industry
Strong knowledge of MAS regulatory
Excellent communication, presentation and interpersonal skills
Able to work independently under pressure and tight datelines
Self-motivated with a high level of integrity and drive