Life Insurance Risk Management Professional

3 days ago


Sydney, New South Wales, Australia Neilson Financial Services Full time
About the Role

In this exciting opportunity, you will be responsible for supporting the Head of Risk and Compliance in ensuring the effective management of Neilson Financial Services' compliance activities.

As a key member of the Compliance Team, you will contribute to the design and implementation of the Compliance Activity Plan, which is essential for managing legal and regulatory risk.

  • Collaborate with the Head of Risk and Compliance to develop and implement a comprehensive Compliance Activity Plan.
  • Conduct regular reviews of financial promotions, communications, product collateral, and internal process documentation to ensure compliance.
  • Monitor and report on key risk indicators (KRIs) to identify potential risks and take corrective action when necessary.
  • Investigate and respond to incidents in accordance with Neilson's incident management policy.
  • Develop and maintain compliance-owned policies and procedures to ensure alignment with regulatory requirements.
  • Provide expert advice on compliance matters to business stakeholders.
  • Support the maintenance of registers related to incidents, complaints, conflicts of interest, and gifts.
  • Contribute to the development of Compliance-related training programs and materials.
  • Manage and resolve escalated complaints in a timely and professional manner.
  • Compile reports and metrics to inform Senior Management decisions.

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