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FIND YOUR BETTER AT AIA
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About the Role
This role is responsible for overseeing regulatory compliance by ensuring adherence to applicable laws and internal policies, while acting as a key point of contact for managing communications and engagements with regulators.Roles & Responsibilities:
1. Implementation of compliance program
. Support in the effective implementation of the Company's Compliance Program. Among others regulatory, AMLCFT, investment, product and sales compliance, whilst ensuring its alignment with business objectives, local regulatory expectation and AIA Group Operating Principles and Group Compliance's strategic direction.
. Support in the implementation of an effective compliance assurance review and risk assessment for the Company engaging relevant stakeholders which includes but not limited to:
. Represent AIAGB Compliance in AIA Malaysia and AIA Group Compliance initiatives through active participation and liaison work.
Support in the development of relevant compliance policies and procedures necessary to support the objectives and values of the Company and for the implementation of corporate policies and procedures to manage corporate-level regulatory risks.
2. Reporting and monitoring
. Perform robust compliance reviews on business functions/operations and provide solid support to the monitoring program and assurance on the implementation of remedial actions on any non-compliance issues.
. Responsible for the effective communication of compliance matters including timely and accurate reporting and/or escalation of Compliance Risk issues and activities in accordance with relevant reporting and escalation protocols, including regular reporting to AIAGB management Committee or equivalent) and other relevant Management and/or Board Committees as per guided by Supervisor/ Head of Department.
. Support in the development or oversee development of structural approach and procedures to effectively deal with suspected instances of compliance policy violations by employees and/or fraud and misappropriations by intermediaries.
3. Implementation of culture of compliance and ethics programs
. Support in the development and implementation of an effective education program through ongoing communication and training to embed compliance culture and ethics within the Company.
4. Others
. Perform other responsibilities and duties periodically assigned by the supervisor in order to meet operational and/or other requirements.
Minimum Job Requirements:
AIA Group Limited, often known as AIA , is a Hong Kong-based American multinational insurance and finance corporation. It is the largest public listed life insurance and securities group in Asia-Pacific. It offers insurance and financial services, writing life insurance for individuals and businesses, as well as accident and health insurance, and offers retirement planning, and wealth management services, variable contracts, investments and securities.
Job ID: 148961027
Skills:
RCSA, Quality Assurance, Transaction Monitoring, compliance training, ICA, AML CFT CPF Compliance, KRI monitoring, Business Continuity Plan, Disaster Recovery Plan, Kyc, MAS regulatory frameworks, Regulatory Compliance, CAMS, AML System Enhancement, Enterprise Risk Management, KCT, IMDC processes
Skills:
AML Legal Regulatory Requirements, Risk Assessment, Regulatory Compliance, Compliance Reporting
Skills:
Operational Dispute Management, Legal Oversight, Insurance Management, Contractual Governance, Legal Compliance Certifications, Regulatory Compliance, ISO Lead Auditor, Risk Management
Skills:
integrating technology in Governance Risk and Compliance framework, conducting compliance benchmarking, policy formulation and analysis, Risk Assessment, regulatory surveys, compliance work
Skills:
Excel, Sql, Transaction Monitoring, Policy articulation, Communication Skills, AML CFT
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