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AIA SINGAPORE PRIVATE LIMITED

Specialist, Risk & Compliance (AIA FA)

Early Applicant
  • Posted 6 days ago
  • Be among the first 10 applicants
5-7 Years
SGD 5,500 - 9,000 per month

Job Description

Job Description

Risk Assessment & Compliance:

. Conduct enhanced due diligence (EDD) on high-risk customers and complex cases. Liaise with internal stakeholders to ensure timely escalation of potential risks to senior management

. Work closely with all stakeholders to coordinate the EDD case management and ensure relevant supporting documents address the risks assessed.

. Prepare and report Suspicious Activity Reports (SARs) in compliance with regulatory and internal requirements.

Reporting & Documentation:

. Maintain accurate records of all EDD and correspondence in accordance with company policies and regulatory obligations.

. Provides regular and ad-hoc reporting to senior management, Group Compliance, regulators and auditors and other stakeholders.

. Prepare and present detailed findings, analysis, and recommendations to internal teams or regulators when necessary.

Operational Support & Process Improvement:

. Identify trends and inefficiencies in the AML operations processes and recommend improvements and participate the enhancement initiatives, including UAT, update of operational manuals

. Provide training, advisory and guidance to the relevant business units on the EDD requirements, especially on the SOF/ SOW corroboration requirements and proactively identify areas of improvements in relation to the area of independent assessment, risk mitigations and benchmarking.

. Implements new processes to address evolving AML risks and landscape.

. Performs other responsibilities and duties periodically assigned by supervisor.

Requirements:

Education:

. Bachelor's degree in Finance, Law, Business, or a related field (or equivalent experience).

. Certification in Anti-Money Laundering (e.g., CAMS, CFE, or other relevant certifications)

Experience:

. Minimum of 5-7 years of experience in AML compliance, financial crime prevention, or a related field.

. Experience in the insurance industry and AML systems (e.g., Actimize, SAS, etc.) is a plus.

. Experience in EDD reviews and KYC onboarding for HNW / offshore customers, including good understanding of the various issues and practical solutions of the SOF / SOW corroborations for high-risk clients.

Skills & Attributes:

. Strong analytical and investigative skills with attention to detail.

. Ability to work independently and manage multiple priorities under pressure. . Proficient in Microsoft Office Suite (Excel, Word, PowerPoint) and data analysis skills.

. Knowledge of local and international AML regulations and standards (e.g., FATF, OFAC, MAS, TSIFA).

. Strong interpersonal skills and ability to positively influence internal (distributions channels and support staff) and external parties (brokers, bankers, agents) to ensure strong and effective AML risk and compliance governance.

. High level of integrity and takes ownership and accountability of results.

More Info

Date Posted: 25/09/2025

Job ID: 127041183

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Last Updated: 28-09-2025 07:56:03 PM
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