Deskripsi Pekerjaan
Hudson Talent Solutions is seeking a dedicated and detail-oriented Market Conduct Compliance Analyst to join our client's established team in the Insurance sector. This is a 12-month contract position based in Singapore's Central Region, offering an exciting opportunity for compliance professionals to contribute to maintaining ethical standards in the financial services industry.
In this critical role, you will be responsible for conducting thorough quarterly Business Conduct Standards (BSC) reviews and leading comprehensive internal investigations related to market misconduct by insurance representatives. You will collaborate closely with senior compliance officers and legal teams to ensure all activities strictly adhere to regulatory standards, industry best practices, and the Monetary Authority of Singapore (MAS) guidelines.
The ideal candidate will possess a strong understanding of insurance regulations, exceptional analytical capabilities, and the ability to effectively communicate complex compliance requirements to various stakeholders. You will play a key role in monitoring market conduct trends, preparing detailed compliance reports, and implementing corrective action plans when necessary.
This position offers an excellent opportunity for a motivated compliance professional looking to make a significant impact in a dynamic financial services environment. You will also be involved in developing and delivering training programs for staff on compliance matters and ensuring that all business activities align with regulatory requirements.
If you are looking for a challenging contract role where you can contribute to maintaining high ethical standards and regulatory compliance in the insurance industry, we would like to hear from you. Apply today to join our client's team and advance your career in compliance.
Tanggung Jawab
- Conduct thorough quarterly Business Conduct Standards (BSC) reviews and assessments for insurance representatives
- Lead comprehensive internal investigations into potential market misconduct and compliance breaches
- Monitor and analyze market conduct trends, identifying potential risks and areas for improvement
- Prepare detailed compliance reports and documentation for management and regulatory submissions
- Develop and implement corrective action plans to address identified compliance issues
- Provide expert guidance and training on compliance policies, procedures, and regulatory requirements
- Ensure strict adherence to MAS regulations and industry best practices across all business activities
- Collaborate with cross-functional teams to enhance compliance frameworks and risk management strategies
Kualifikasi
- Bachelor's degree in Business Administration, Finance, Law, or a related discipline
- Minimum 2-3 years of progressive experience in compliance, risk management, or regulatory affairs
- Prior experience working within the insurance or financial services industry is highly advantageous
- In-depth knowledge of MAS regulations, market conduct standards, and industry guidelines
- Strong analytical, investigative, and problem-solving capabilities with keen attention to detail
- Excellent written and verbal communication skills with the ability to influence stakeholders at all levels
- Proven ability to work independently, manage multiple priorities, and meet tight deadlines
- Professional certification in compliance (such as ACAMS, ICA, or equivalent) would be an added advantage