About the company
A newly established, innovative insurance financial advisory firm is seeking a pioneering Head of Compliance to join their team in Singapore. This is a unique opportunity to build a robust compliance framework from the ground up and play a critical role in the firm's success. As the first compliance hire, you'll be a key member of the leadership team, working closely with the CEO and Head Office to shape the business.
About the job
You will be instrumental in all compliance-related matters, including:
Spearheading our license applications and ensuring a smooth onboarding process with regulatory bodies.
Developing, implementing, and overseeing all compliance policies and procedures.
Providing expert advice on the Insurance Act and Financial Advisers Act (FAA) to the leadership team.
Conducting regular compliance training for all staff to foster a strong compliance culture.
...
Skills and experience required
- At least 8 years of compliance experience in the insurance/financial advisory business.
Highly familiar with the Insurance Act and FAA, with a deep understanding of the regulatory landscape in Singapore.
A strong and influential communicator with excellent stakeholder management skills. You'll need to be articulate and confident in engaging with regulators, senior management, and global headquarters.
Proactive, self-motivated, and capable of working independently in a fast-paced startup environment.
A strategic thinker who can not only manage current compliance requirements but also anticipate future challenges.
To apply online please use the 'apply' function, alternatively you may contact Lynette Lim.
(EA: 94C3609/ R1435181 )