Brief Summary
Join a dynamic team focused on compliance and risk management. Ensure regulatory adherence while contributing to the enhancement of operational standards.
Responsibilities
- Maintain accurate records of sanction checks and adhere to compliance requirements. Assist business divisions in conducting required sanction checks, ensuring adherence to internal policies. Support the ownership and implementation of sanction policies effectively. Conduct regular reviews of sanction procedures, recommending and implementing modifications to mitigate business risks. Promote a robust risk culture within operations. Stay updated on sanction regulatory changes and oversee their implementation. Assist in ad-hoc projects and reviews as assigned.
Requirements
- Bachelor's Degree in relevant fields. A minimum of 1 year of compliance or KYC experience in banking or financial services. Basic understanding of laws and legislation pertaining to the insurance industry is advantageous. Strong attention to detail and good communication skills.