-Focus on ensuring continuing compliance and managing regulatory requirements in Singapore
-Monitor, highlight and propose solutions for new regulations which develop from time to time with the guidance of the Head of Compliance
-Be aware of regulatory developments in the rest of SEA which may have implications to the SEA portfolio
-Identify work processes that have compliance implications and consider regulatory implications when assessing those controls
Requirements
-Bachelor's degree with a minimum of 6-8 years as a compliance officer with a financial institution, preferably an insurance company
-Strong communication skills in English, both verbal and written
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