This job is closed and no longer accepting applications.
One of our clients specialising in Financial Services and the Insurance industry is currently looking to onboard a highly experienced Risk and Compliance Officer to join their growing team of professionals:
Duties:
Design and implement the Risk Management Framework tools, systems and processes
Collate and validate risk information and Maintain the Risk Register of the Company
Identify controls, mitigation techniques and strategies for the risks of the company and evaluate the residual risks
Prepare required risk reporting for any Board Committees and for the Board and maintain proper records
Work closely with risk-related functions such as internal audit, actuarial, underwriting and finance
Ensure the company satisfies its authorisation requirements in terms of the Insurance Business Act, Regulations and Insurance Rules issued thereunder, the Insurance Distribution Rules as well as the Conduct of Business Rules and assess the possible impact of any changes in the legal environment on the company’s operations
Identify and assess compliance risks across all operations of the Company including activities outside Malta and those outsourced to third party service providers
Monitor compliance and identify any breaches and escalate them to the Risk & Compliance Committee and where necessary to the Board and the MFSA
Prepare a compliance plan on an annual basis and quarterly compliance reports to the Risk & Compliance Committee;
Maintain training and CPD records for relevant persons
Provide training on regulatory matters to staff and management as necessary
One of our clients specialising in Financial Services and the Insurance industry is currently looking to onboard a highly experienced Risk and Compliance Officer to join their growing team of professionals:
Duties:
Design and implement the Risk Management Framework tools, systems and processes
Collate and validate risk information and Maintain the Risk Register of the Company
Identify controls, mitigation techniques and strategies for the risks of the company and evaluate the residual risks
Prepare required risk reporting for any Board Committees and for the Board and maintain proper records
Work closely with risk-related functions such as internal audit, actuarial, underwriting and finance
Ensure the company satisfies its authorisation requirements in terms of the Insurance Business Act, Regulations and Insurance Rules issued thereunder, the Insurance Distribution Rules as well as the Conduct of Business Rules and assess the possible impact of any changes in the legal environment on the company’s operations
Identify and assess compliance risks across all operations of the Company including activities outside Malta and those outsourced to third party service providers
Monitor compliance and identify any breaches and escalate them to the Risk & Compliance Committee and where necessary to the Board and the MFSA
Prepare a compliance plan on an annual basis and quarterly compliance reports to the Risk & Compliance Committee;
Maintain training and CPD records for relevant persons
Provide training on regulatory matters to staff and management as necessary