about the company
Our client is a Wealth Management services provider headquartered in the UK with a Life Insurance licence in Singapore, distributing ILPs in Singapore to their high net-worth clients.
about the job
...
They are now looking for a Compliance & Risk Officer to focus on Risk Management and lead discussions directly with the stakeholders to drive risk initiatives. The role will also partner with the Compliance Manager on compliance & regulatory matters.
- Review and manage policies and frameworks for compliance with relevant regulatory requirements.
- Provide ongoing compliance advisory and support to internal stakeholders.
- Provide guidance to business units on the implementation of the outsourcing risks and risk management framework.
- Ensure regular monitoring against risk appetite, Key Risk Indicators and that breaches of risk appetite are escalated appropriately.
- Supporting the Own Risk and Solvency Assessment (ORSA) and preparation of ORSA report
about the manager/team
This role reports to the Head of Division, Risk & Compliance.
skills and experience required
- 2-4 years of experience in a risk, compliance or related function (e.g. audit, legal) in the financial industry, preferably in life insurance
- Good knowledge of regulatory requirements
- Good understanding of risk and control processes
To apply online please use the 'apply' function, alternatively you may contact at .
(EA: 94C3609/ )