About the company
Our client is an established global financial services firm with a strong market presence in the general insurance sector. Driven by an ambitious and strategic regional expansion across Asia, they are scaling their Risk Management & Compliance function in Singapore. This organization is highly regarded for its commitment to structural excellence, robust governance, and creating clear progression pathways for its employees.
About the job
In this newly created headcount, you will support regional leadership in ensuring effective oversight of risk management and compliance frameworks. Your key responsibilities include:
Supporting the Head of Risk & Compliance and Deputy Head in acting as the control owner for regional risk management policies and driving their effective implementation.
Conducting regular reviews of compliance and Customer Due Diligence (CDD) procedures, proactively recommending and executing modifications to optimize business risk mitigation.
Driving horizon scanning initiatives to ensure the branch keeps pace with the latest regional regulatory updates and implementations.
Engaging and collaborating with cross-functional stakeholders at all levels, fostering open communication while maintaining a disciplined compliance stance when necessary.
Skills and experience required
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A minimum of 4 to 6 years of professional risk management and compliance experience, ideally within the general insurance sector.
An inquisitive, analytical mind with a natural inclination to investigate anomalies and question existing workflows.
Exceptional communication and presentation skills, with a calm, focused, and naturally discreet approach to handling highly confidential data.
High resilience, drive, and adaptability to thrive under pressure within a fast-growing regional expansion environment.
To apply online please use the 'apply' function, alternatively you may contact Lynette Lim.
(EA: 94C3609/ R1435181 )