Head of Regulatory Compliance – ()
Description
The Head of Compliance shall support the Group Head, Compliance, Financial Crime and Conduct (CFCC) by working with other Risk and the Business leaders to manage the strategy and execution of the Group’s Compliance risk framework.
The role supports the effective management of regulatory Compliance related risks in the Group and provides pro-active, accurate and timely advice to enable the group and all subsidiaries operate in accordance with regulatory requirements, global best practice and applicable Group standards.
The role requires good knowledge of Compliance risk frameworks, the potential sources of compliance risk and collaboration with other leaders in the first and second lines of defense to identify, assess, monitor and address such activities.
Responsibilities:
· Support the Group Head, CFCC to implement and maintain an effective Group Compliance risk
· framework and provide strategic direction in how compliance risks are managed.
· Collaborate with the other stakeholders to identify, control and assess compliance risk in the Group.
· Deliver regulatory advice to stakeholders in line with Group risk appetite and manage second line
· processes to ensure adequate risk reviews on new businesses, products, and systems on an ongoing
· basis.
· Drive effectiveness of the Group Compliance Risk Framework by incorporating effective and practical
· advice into sound early-stage second line challenge.
· Support the rollout and implementation of effective Compliance training across the Group.
· Assist with the Group’s approach, including an effective Group Obligations register, for the timely
· identification of opportunities to enhance the management and oversight of Compliance risk, and
· ensure appropriate action is taken by relevant parties to deliver improvements.
· Work with relevant stakeholders in the Group to ensure that the required controls to mitigate
· compliance risk are embedded into new products and initiatives.
· Support the Group Head, CFCC in the development and implementation of the Group Government & Regulatory Relationship Program.
· Implement a process that identifies and manages potential Compliance risk from regulatory and geo-
· political changes and provides assurance that changes have been effectively embedded into the
· relevant Compliance business processes.
· Broaden internal and external networks and keep up to date with regulatory requirements and industry
· best practice to continuously improve the effectiveness of Group compliance risk management.
· Develop compliance testing plans to test that sound compliance programs are in place and effective.
· Evaluate effectiveness of available metrics and enhance or design new metrics to identify trends,
· patterns, or potential areas of concern.
Critical Skills:
· Compliance management experience, with significant portion in compliance risk within large
· international banks, insurance and technology companies.
· Strong understanding of Regulatory Compliance and requirements within the banking industry.
· Good experience in leveraging analytics and technology solutions to manage Compliance risks.
· Critical thinking skills to understand and analyze complex problems.
· Effective communicator with strong writing and verbal abilities to communicate across all levels of the
· Group.
· Ability to develop strong relationships and collaborate with senior business and function leaders to
· influence change
· Proven focus on deliverables, organized, and ability to manage multiple high priority deliverables Self-starter, highly organized, and detailed-oriented
· Strategic and critical thinking and the ability to concisely convey complex regulatory concepts and possible solution sets.
· Excellent facilitation and presentation skills
· Exercise high level of discretion and confidentiality due to the sensitive nature of the scope of work · Extremely detail oriented with ability to elevate details into strategies.
· Proven record in conducting compliance testing.
Qualifications
Requirements: Qualification and Skill
· Degree in Law, Business Administration, or related field
· Professional Certification such as CAMS, ICA.
· Requires 12+ years of professional experience and 5+ years of management experience.