
Senior Manager - Risk & Compliance (Captive Insurance)
- Birkirkara, Malta Island
- Permanent
- Full-time
- Holding the role of Compliance Officer for Aon Malta entities and its managed clients
- Ensuring compliance with the Insurance Legislation and Regulations, with guidelines issued by the MFSA and with other applicable legislation
- Using initiative, knowledge, and collaboration with the client teams to advise & support on a wide range of Compliance and regulatory matters
- Reporting to the Board on all compliance and regulatory matters
- Liaising with the MFSA on all regulatory related matters
- Drawing up and implementing a compliance plan to ensure corporate compliance with all applicable regulations
- Oversee the preparation of quarterly and annual regulatory reporting submissions
- Liaising with global clients and other service providers including actuaries, internal and external auditors, and risk consultant
- Reviewing procedures and systems on a planned basis from the viewpoint of effective compliance and advising as to steps necessary to ensure compliance
- Coordinating the development and ongoing maintenance of risk policies and procedures
- Monitoring and maintaining the system of governance and internal controls
- Developing risk management strategies
- Act as Risk Management Function and be responsible for the risk management framework including risk register and ORSA
- Acting as the Money Laundering Reporting Officer and ensuring staff are trained and informed of the necessary anti-money laundering regulation and procedures.
- Reviewing staff training processes to ensure appropriate compliance competencies
- Conducting compliance risk assessment training workshops
- Advising internal management and clients on the implementation of compliance programs
- Work with Group Compliance team to ensure Group policies are adhered to
- Following up on compliance issues that require investigation.
- Be professionally qualified in Accountancy, Law, or Insurance.
- Have a proven understanding of EU legislation, Malta legislation, and the regulatory environment which governs our clients.
- Strong understanding of the Solvency II regime.
- Have proven managerial experience, ideally with a compliance, finance, or insurance background.
- Have completed, Compliance Training and other relevant training courses.
- Have been approved for similar roles by the Malta Financial Services Authority or have held similar positions in a regulated entity.