Search by job, company or skills

BLS Hafnia

Assistant Manager/Manager, Risk & Compliance (Singapore or Copenhagen)

4-6 Years
Save
  • Posted 21 hours ago
  • Be among the first 10 applicants
Early Applicant

Job Description

The Manager, Risk & Compliance is a new role at Hafnia, to be based in Singapore or Copenhagen and part of the Governance, Risk & Compliance pillar within the Executive Projects, Compliance & ESG team. The team works closely with Hafnia's Leadership Group across three pillars to enable strategic execution, safeguard the organization through robust governance and risk oversight, and embed sustainability across the business.

The role reports to the Senior Manager, Head of Governance, Risk & Compliance. During an initial transition period, the role will report directly to the Head of Executive Projects, Compliance & ESG.

This position will play a critical role in operating Hafnia's risk management framework and Corporate Compliance Program, driving compliance efforts and managing enterprise risks. It involves guiding departments and maintaining oversight on compliance with all applicable laws and regulations, including but not limited to sanctions, anti-corruption, anti-trust, anti-money laundering, GDPR, and business ethics. A key focus is building a strong culture of integrity and adherence to regulatory and risk standards across the organization.

Key Responsibilities will include:

Risk management framework

  • Operationalize and continuously improve Hafnia's enterprise risk management framework
  • Conduct risk assessments and risk reviews with business owners across functions
  • Maintain Hafnia's risk register and relevant documentation
  • Work with business owners to develop risk mitigation strategies and contingency plans

Regulatory compliance and governance for corporate office

  • Develop, implement and regularly review our compliance policies
  • Keep up to date on regulatory developments to ensure the business remains complaint
  • Assess effectiveness of the Compliance Program and adapt it to regulatory developments and emerging risks
  • Coordinate regularly with the legal team and HSEQ department on compliance matters
  • Represent Hafnia and develop its engagement within the Maritime Anti-Corruption Network (MACN) and other industry forums
  • Provide continuous recommendations for the development of the compliance program
  • Perform counterparty sanctions screening and assist with KYC process
  • Manage the network of compliance systems and guide business users

Forward Freight Agreement (FFA) governance

  • Oversee the governance and compliance framework for Hafnia's FFA activities
  • Maintain FFA-related controls, policies and documentations
  • Coordinate with Commercial and Finance teams to ensure consistent FFA compliance and reporting

Corporate ethics and integrity

  • Champion a culture of compliance and ethical decision-making across the organization
  • Monitor adherence to our policies and procedures
  • Develop compliance training programs and conduct mandatory training and awareness sessions, partnering with the Executive Projects team on rollout and change management
  • Manage our whistleblower program and protection mechanisms
  • Advise on internal investigations and corrective actions in case of violations

Reporting and auditor coordination

  • Manage internal and external audit inquiries relating to Enterprise Risk Management and compliance activities
  • Maintain documentation related to compliance and enterprise risk management
  • Ensure timely reporting and resolution to inquiries or audits
  • Report top risks to leadership and the Audit Committee on a regular cycle

Cross-functional collaboration

  • Work with the Executive Projects team on policy implementation and change management initiatives
  • Coordinate with the ESG team on governance frameworks, ESG risk integration and assurance alignment
  • Work across Legal, HSEQ, Internal Audit and Commercial functions on shared risk and compliance topics

Crisis management and incident response

  • Develop and implement crisis response strategies for compliance and risk-related incidents

Qualifications

  • Bachelor's degree in Business, Law, Finance, or a related field
  • Minimum 4 years of experience working in shipping, compliance and/or risk management, preferably within an in-house team and in a global context. Legal experience is a plus

Requirements

  • Strong knowledge of global regulatory requirements and industry/maritime best practices
  • Clear grasp and understanding of key global anti-bribery, anti-trust, GDPR and trade sanctions frameworks
  • Experience with enterprise risk management frameworks and methodologies
  • Keen interest in maritime compliance and company governance structures
  • Focus on details, with excellent analytical, problem-solving and communication skills
  • Ability to work independently and to engage with cross-functional teams
  • Ability to work under pressure and manage multiple priorities
  • Relevant certifications (e.g., risk management, compliance) are a plus

More Info

About Company

Job ID: 149788703

Similar Jobs

Pasir Panjang, Singapore

Skills:

risk management framework GdprCrisis ManagementAnti-money launderingCompliance policiesAnti-trustEnterprise risk management frameworksbusiness ethicsRegulatory Complianceanti-corruption

Singapore

Skills:

marine insurance Data Analysismaritime lawCompliancerisk-mitigationcargo claims

Singapore

Skills:

Data AnalyticsAnti-money launderingFraud controlsAuditOperational Risk Management

Singapore, Joo Chiat

Skills:

procurement systemsdigital toolsprocurement policiesdecision-makinganalytical problem-solvingprocurement processesMicrosoft Office Applicationscompliance requirements

Singapore

Skills:

regulatory technology platformcompliance framework developmentregulatory adviceCompliance Outsourcing ServicesRegulatory ReportingInternal Auditscompliance reviewsbusiness development