Managing the Regulatory Affairs for an area of the organisation through the provision of regulatory advice, support and establishing standards and specifications for all company operations / products / services that have to comply with Government Regulations.
Responsible for the execution and delivery of the end-to-end compliance program.
Provide day to day advisory and support, including responsibility for the oversight and implementation of the Compliance program.
Advice the business on outsourcing / offshoring initiatives, data privacy and confidentiality, as well as other local regulatory requirements.
Act as key point of contact / liaison for regulatory bodies, including Bank Negara Malaysia.
Coordinator for regulatory audits, inspections and investigations.
Advice businesses on regulatory developments, provide input to regulatory consultative papers and proposed rules / guidelines and amendments, and assist in complying with the new requirements that are applicable.
Work closely with regional Legal and Compliance in providing input to regional projects or initiatives, as well as execute and deliver the required global programs onshore.
Prepare compliance reports for local management and regional compliance.
Plan and monitor that procedures are in place to ensure the compliance framework is being adhered to.
Select and maintain appropriate risk identification and measurement methodologies
Develop and recommend compliance policy and processes which are adequate to meet all organisational compliance and policy obligations.
Develop and implement a program to ensure that all employees and intermediaries comply with compliance policy and processes.
Provide guidance and expertise to business areas to ensure appropriate compliance systems are in place.
Identify and provide developmental compliance training to all staff.
Provide reports on compliance adequacy at regular intervals.
Build and maintain strong and effective relationships with key internal and external stakeholders to ensure that service delivery meets the business’ expectations.
Identify all appropriate external regulatory and compliance requirements and ensure compliance by the business.
Provide advice to business on interpretation, impact and compliance with regulatory requirements to ensure all public documentation and distribution processes meet the requirements.
Report breaches and ensure remedial action is taken.
Assist with the preparation of Audit and other reporting requirements.
Manage Compliance Specialists and Compliance Officers.
Facilitate the team achievement of KPIs and prepare and implement Performance Management Process with team to ensure expectations are understood and met.
At least 8 - 10 years of experience in a commercial compliance role
Relevant qualifications in law, business, commerce or equivalent
Good understanding of operations of a general insurance company
Ability to interpret relevant regulatory legislation
Sold communication skills
Strong influencing skills
Number of Openings :
Equal Employment Opportunity :
QBE is an equal opportunity employer and is required to comply with equal employment opportunity legislation in each jurisdiction it operates.