Compliance Manager

4 days ago


North Ryde, New South Wales, Australia Chubb Insurance Australia Limited Full time

Job Title: Senior Compliance Manager

Job Summary: We are seeking a Senior Compliance Manager to lead our compliance function in Australia and New Zealand. The successful candidate will have a strong background in compliance and risk management, with experience in financial services and regulatory compliance.

Key Responsibilities:

  • Maintain a proactive compliance function that encourages best practice and works closely with business and functional units to promote a strong compliance and customer-focused culture.
  • Implement, develop, and monitor systems and procedures to ensure that the company and where applicable, its third-party partners, are compliant with laws, regulations, industry codes, and company policies and that controls are working effectively.
  • Develop, maintain, and monitor compliance registers and compliance plans across the company.
  • Identify areas of non-compliance, recommend remedial actions, and work closely with the business to strengthen processes and controls to enhance customer outcomes and to foster good business conduct at all times.
  • Deliver clear and meaningful internal reporting to the A&NZ Boards of Directors, Board and Management Committees, and to Chubb Group.
  • Manage the Compliance Breaches & Incidents program, including identification, investigation, management, and reporting procedures.
  • Oversee the development and delivery of effective compliance communication and training programs throughout Chubb.
  • Oversee and assist in the periodic review and update of the Chubb Compliance Framework documentation and other compliance policies.
  • Manage Compliance Reviews for A&NZ, including working closely with Chubb's Global Compliance team on the compliance assurance review program in A&NZ.
  • Manage compliance requirements in relation to anti-bribery and corruption, sanctions, and OFAC, due diligence, and conduct requirements.

Requirements:

  • Tertiary qualifications in Law or qualifications in Compliance or Risk Management desirable.
  • Minimum 8 years' compliance and/or internal audit or operational risk experience, preferably in financial services/general insurance.
  • Knowledge of financial services regulatory compliance and relevant laws, codes, guidelines.
  • Experience in compliance management concepts and practices and in running effective assurance and monitoring programs.
  • Excellent relationship skills and the ability to work closely with business and function leaders to enhance compliance and improve customer outcomes across the business.
  • Exceptional oral and written communication, analytical, presentation, and facilitation skills.
  • Excellent attention to detail.

About Us: Chubb is a world leader in insurance, providing commercial and personal property and casualty insurance, personal accident and supplemental health insurance, reinsurance, and life insurance to a diverse group of clients. We are committed to fostering an inclusive, flexible, and equitable workplace and offer a range of benefits, including education assistance, health insurance, and flexible working arrangements.



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