Senior Compliance Executive
2 weeks ago
About FWD Group
FWD Group (1828.HK) is a pan-Asian life and health insurance business that serves approximately 34 million customers across 10 markets, including BRI Life in Indonesia. FWD's customer-led and tech-enabled approach aims to deliver innovative propositions, easy-to-understand products and a simpler insurance experience. Established in 2013, the company operates in some of the fastest-growing insurance markets in the world with a vision of changing the way people feel about insurance. FWD Group is listed on the main board of the Hong Kong Stock Exchange under the stock code 1828.
For more information, please visit
In Singapore, FWD aims to change the way people feel about insurance by leveraging technology to deliver products and services that are relevant, easy to understand and always convenient for our customers. To this end, we have a direct-to-consumer (DTC) platform that allows customers to buy their preferred life and general insurance products directly from our website; as well as a network of preferred Financial Advisory (FA) firms for customers who want to speak with an advisor before committing to an insurance plan. Whatever their preference, we believe insurance should be simple, reliable and convenient.
If you are looking for a career where you can create a real impact and celebrate living, we invite you to join us on our exciting journey.
PURPOSE
As a Compliance Senior Executive, you will support the Risk & Compliance team in implementing and maintaining effective compliance and risk management frameworks, with an initial focus on financial crime and increasing attention on aspects of regulatory compliance and distribution compliance. The role will assist in monitoring, reviewing, and reporting on compliance activities, and contribute to knowledge transfer and process improvement initiatives.
KEY ACCOUNTAIBILITIES
- Assist in conducting second line of defence reviews across Distribution Compliance, Conduct, Regulatory Compliance, and related areas (e.g., cross-border sales, Anti-Bribery & Corruption, process and control effectiveness).
- Help ensure continuity of AML controls and standards during periods of transition or increased business activity.
- Help monitor controls to mitigate financial crime risks and participate in sample testing of controls.
- Contribute to the tracking, monitoring, and reporting of compliance activities, including maintaining registers and preparing regular updates for management.
- Support the identification and closure of compliance gaps or breaches, working with relevant business and operational units.
- Stay updated on regulatory developments (e.g., MAS, PDPC, Group directives) and assist in communicating relevant changes to the business.
- Participate in training and awareness initiatives for business units on compliance and financial crime topics.
- Provide administrative and project support for compliance initiatives as required.
QUALIFICATIONS / EXPERIENCE
- Degree or Diploma
- 1 to 3 years financial services industry/compliance/audit experience
- Reasonable understanding on Singapore regulatory environment or landscape
- Exposure to regulatory compliance, AML, or financial crime topics is an advantage
KNOWLEDGE, SKILLS & ABILITY
- Basic knowledge of compliance and risk management principles
- Good organizational and administrative skills.
- Strong attention to detail and willingness to learn.
- Effective communication and interpersonal skills.
- Ability to work collaboratively in a team environment.
- Proficiency in spoken and written English.
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