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Location
In office (Bangkok)
Seniority
Senior
Employment
Full-Time
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FWD

FWD Group is a pan-Asian life insurance provider headquartered in Hong Kong and established in 2013. The company offers a range of products including life and medical insurance, general insurance, employee benefits, and family takaful solutions. It operates across ten markets in Asia, serving millions of customers through a multi-channel distribution network that includes agents, bank partners, and digital platforms.

About FWD Group

FWD Group (1828.HK) is a pan-Asian life and health insurance business that serves approximately 40 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 www.fwd.com

JobPurpose

Lead the Regulatory Compliance function by overseeing regulatory advisory, regulatory change management, related compliance monitoring, and engagement with regulators. Support the Head of Compliance in maintaining an effective Compliance Framework, promoting a strong compliance culture, and ensuring regulatory obligations are identified, assessed, implemented, and monitored across the organization.

Key Responsibilities:

  • Coach the Compliance team on Regulatory Compliance Management and maintaining comprehensive regulatory inventory, interpreting regulations, regulatory requirements and expectations, developing compliance risk assessment methodologies, aggregating and reporting compliance risk exposures to senior management and committee as required. Promote a culture of accountability, collaboration, and continuous professional development within the team.
  • Lead the designs and executes compliance monitoring and testing for areas under responsibilities, reports findings, and tracks remediation.
  • Oversee regulatory filings and responses and manages the regulatory inspections and requests. In the event of regulatory breaches, oversees the breach investigation, escalation, and reporting to regulators, ensuring timely response and remediation.
  • Liaise with regulators and industry bodies and participate, where possible, in industry meetings to ensure knowledge exchange about regulations and to improve compliance risk management knowledge;
  • Responsible for overall Compliance reporting to relevant stakeholders including local management, Group, and relevant committees.

Regulatory Compliance Program and Governance

  • Oversee the Regulatory Change Management process to ensure timely assessment and implementation of new laws, regulations, and industry guidance.
  • Support the enhancement and maintenance of the Compliance Framework, Compliance Charter, policies, standards, and procedures.
  • Provide strategic compliance input into business initiatives, product development, outsourcing arrangements, and operational changes

Regulatory Advisory

  • Lead the Regulatory Compliance team to serve as the primary compliance advisor to business units on relevant regulatory matters and ensure practical, risk-based, and commercially sound compliance advice. Escalate significant regulatory matters and emerging risks to the Head of Compliance and senior management.

Other Leadership Supports

  • Support the Head of Compliance for the planning of Annual Compliance Plan
  • Support budget planning, resource management, and departmental strategy
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