Assist the compliance team head on addressing regulatory issues in related to market conduct, data privacy, FATCA/CRS, regulatory changes and others.
Provide regulatory advisory supports to relevant channels in related to regulatory issue.
Conduct compliance risk and monitoring tests.
Provide compliance training to business units or channel.
Conduct investigation if necessary.
* Bachelor degree in Law, Risk Management, Business Administration or related disciplines. * Minimum 8 years relevant experience in life insurance compliance function. * Working knowledge in Insurance Ordinance, Securities and Futures Ordinance, good understanding of Hong Kong insurance regulatory framework and experience in dealing with regulators is preferred. * Preference will be given to those with solid experience in market conduct, product and marketing materials review. * Good interpersonal, communication, analytical and bilingual drafting skills.