About the company
A leading global financial services organization with a strong commitment to diversity and a purpose-driven culture. They are dedicated to supporting career growth and providing a platform for professionals to make a significant impact within the insurance and risk sectors.
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About the job
In this dynamic role reporting to senior leadership, you will provide critical oversight to ensure distribution channels remain compliant with regional regulations and internal governance standards.
Conduct comprehensive risk assessments on distribution activities to mitigate market conduct and misconduct risks.
Review training materials, marketing collateral, and distribution agreements to maintain alignment with company and regulatory requirements.
Drive process enhancements and explore advanced monitoring tools to streamline compliance workflows and increase operational efficiency.
Provide strategic advisory to stakeholders on emerging regulatory trends, industry threats, and market conduct best practices.
Manage high-level escalations and present key risk trends to senior leadership to proactively mitigate potential business exposure.
Skills and experience required
At least 6-8 years of professional experience in risk management or compliance roles within a regulated financial institution.
Proven track record in managing complex projects involving multiple stakeholders across different functional areas.
Strong knowledge of distribution governance and the ability to interpret complex regulatory guidelines for business application.
Excellent stakeholder management skills with the ability to influence and lead cross-functional initiatives in a fast-paced environment.
High level of integrity and a proactive approach to identifying and resolving compliance gaps.
Degree in any discipline with a deep understanding of governance frameworks and risk management processes.
To apply online please use the 'apply' function, alternatively you may contact Lynette Lim.
(EA: 94C3609/ R1435181 )