
Assistant Compliance Business Partner
6 days ago
**The Company**
At WTW (NASDAQ: WTW), we provide data-driven, insight-led solutions in the areas of people, risk and capital. Leveraging the global view and local expertise of our colleagues serving 140 countries and markets, we help organizations sharpen their strategy, enhance organizational resilience, motivate their workforce and maximize performance. Working shoulder to shoulder with our clients, we uncover opportunities for sustainable success—and provide perspective that moves you.
**The Group Compliance Function**
The Group Compliance Function’s aim is to proactively support Willis Towers Watson to generate sustainable value, helping the company to deliver good client outcomes, manage its conduct, protect against regulatory risk, and to maintain strong regulatory relationships. We aim to be a trusted partner to the business. Within Willis Towers Watson’s internal control system, we form part of the Second Line of Defence, as a function independent from daily business activities.
Our Every Day Effect is to inspire ethical decisions. Compliance is a trusted Professional Partner, supporting WTW’s sustainable business growth by providing pragmatic advice, oversight, and effective challenge.
We lead the management and co-ordination of Willis Towers Watson Group Compliance policies and procedures, identifying applicable regulatory requirements and assisting in implementing relevant processes to enable standards to be met. We also provide guidance and training. We monitor compliance with regulatory obligations and implemented controls within the Compliance Program. The Compliance team leads the management and co-ordination of the requirements of our global regulators.
**The Role**
- This role sits under the 2nd line WTW Compliance function. You are primarily responsible for assisting the Head of Compliance developing, implementing, and reviewing the compliance framework and providing regulatory compliance advice to the WTW insurance broking and consulting businesses in Singapore.
- You are expected to keep abreast of regulatory developments and proactively identify areas to improve the compliance framework, as well as building effective working relationship with the relevant stakeholders. You will assist the Head of Compliance to review specific transactions, new products, services, operational procedures, and initiatives from a compliance point of view. You will also undertake compliance monitoring and prepare regulatory reporting.
**The Requirements**
- Degree qualified with minimum 2 years of relevant experience in Regulatory Compliance in an MAS regulated entity.
- Whilst experience in a compliance role in the insurance broking or Insurance industry is preferred, applicants with experience in other regulated financial services entities will also be considered.
- Possess effective communication and interpersonal skills. You are highly driven, organized, analytical with proven ability to engage and influence stakeholders.
**Willis Towers Watson is an equal opportunities employer and does not discriminate on any basis. We support flexible working and this role will be considered on a flexible basis.
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