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Manager, Regulatory Compliance

Manager, Regulatory Compliance
Company:

Aia Australia


Details of the offer

Bring your career aspirations to life with AIA!This position is responsible to support the Associate Director, Compliance to ensure that AIA Bhd. operates in accordance with the AIA Group policies and guidelines and local regulatory requirements in the following areas and towards this end, driving and overseeing implementation of compliance frameworks in these areas: - Regulatory Compliance (including Code of Conduct, FATCA, CRS and Anti-Bribery and Corruption) - Data Privacy - Compliance Reporting - Combined Assurance - Other regulatory and corporate requirements Roles and Responsibilities: 1. Regulatory Compliance Represent AIA Bhd. in local regulatory matters, projects and initiatives by fulfilling the respective requirements and obligations. Ensure AIA Bhd. is in compliance with all applicable regulatory requirements. Implement applicable compliance policies/protocols, risk assessment process and relevant back-end procedures to comply with applicable policies/standards and regulatory requirements (including Code of Conduct, FATCA, CRS, Anti-Bribery and Corruption, etc.) for AIA Bhd. Ensure quality, accuracy and appropriateness of any regulatory compliance submissions to local regulatory authorities. Coordinate to ensure e-learning programmes and code of conduct annual certification are properly completed by all employees. Consult with Group Compliance and relevant business units in resolving issues related to regulatory compliance implementation. Conduct gap analysis to ensure compliance with relevant guidelines including those issued by BNM, LIAM, AIA Group and other authorities. Update and maintain regulatory database which consist of all local regulatory requirements. Proactively engage with business and provide advice / guidance to mitigate key compliance risks. Strengthen compliance engagement with business units to educate and increase awareness of regulatory developments, ethics and compliance risks. 2. Compliance Reporting Prepare and submit reports to Group Compliance and other related internal reports such as to ORC, EXCO, and Board of Directors. Liaise with first line risk owners in ensuring timely submission of regulatory reporting obligations (including update of reporting register due to changes). 3. Combined Assurance Conduct compliance reviews on business units and third parties. Undertake monitoring and follow up with relevant stakeholders on agreed actions and any non-compliance issues until they are satisfactorily resolved/implemented. Minimum Job Requirements: Bachelor degree in Accounting, Finance, Business or Law, and knowledge of local legal / regulatory requirements. At least 3 years in compliance, internal control or related work experience in financial service industry. Preferably in insurance industry. At least 3 years’ of managerial experience in the related field. Good Interpersonal and communication skills and self-motivated. Pro-active, demonstrates initiative & looks for area of improvement. Good written and spoken communication skills in English and local language. Strong analytical and presentation skills. Build a career with us as we help our customers and the community live healthier, longer, better lives. You must provide all requested information, including Personal Data, to be considered for this career opportunity. Failure to provide such information may influence the processing and outcome of your application. You are responsible for ensuring that the information you submit is accurate and up-to-date.


Source: Whatjobs

Job Function:

Requirements


Knowledges:
Manager, Regulatory Compliance
Company:

Aia Australia


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