Chubb Life HK - Manager, Compliance

Posted 29 Days Ago
Be an Early Applicant
2 Locations
In-Office or Remote
Senior level
Insurance
The Role
Manages the life insurance compliance framework by developing policies and controls, monitoring regulatory changes, advising on products and sales practices, conducting reviews, investigating incidents, supporting filings and examinations, delivering training, and reporting compliance risks and remediation to stakeholders.
Summary Generated by Built In

Role Summary
The Compliance Manager is responsible for supporting and overseeing the compliance framework for the life insurance business. The role ensures that business activities, products, sales practices, and internal controls comply with applicable laws, regulations, regulatory guidance, and internal policies. The Compliance Manager works closely with business, legal, risk, operations, and distribution teams to promote a strong compliance culture and manage regulatory risk.

Key Responsibilities

  • Develop, implement, and maintain compliance policies, procedures, and controls for the life insurance business.
  • Monitor regulatory developments and assess their impact on products, sales practices, operations, and disclosures.
  • Provide compliance advice on product design, marketing materials, customer communications, and sales processes.
  • Review policy brochures, scripts, training materials, and other customer-facing documents.
  • Conduct compliance monitoring, thematic reviews, and issue tracking to identify gaps and recommend remediation.
  • Support regulatory filings, reporting, and responses to regulator inquiries or examinations.
  • Investigate compliance incidents, breaches, complaints, and potential misconduct, and coordinate corrective actions.
  • Deliver compliance training and awareness programs to employees and intermediaries.
  • Work with business stakeholders to embed compliance requirements into new initiatives, projects, and process changes.
  • Maintain records, management information, and reporting on compliance activities, issues, and key risks.
  • Support other relevant compliance obligations as required.
  • Liaise with internal and external auditors, regulators, and other stakeholders as needed.
Qualifications

Required Qualifications

  • Bachelor’s degree in Law, Business, Finance, Insurance, Risk Management, or a related discipline.
  • Minimum of 5–8 years of compliance, legal, risk, audit, or regulatory experience in the life insurance or financial services industry.
  • Strong knowledge of life insurance regulatory requirements, product governance, sales conduct, and consumer protection principles.
  • Familiarity with data privacy, complaints handling, and internal control frameworks.
  • Excellent written and verbal communication skills.
  • Strong analytical, problem-solving, and stakeholder management skills.
  • Ability to work independently, manage multiple priorities, and exercise sound judgment.

Preferred Qualifications

  • Professional certifications in compliance, risk, insurance, or related fields.
  • Experience working with regulators, external auditors, or in a regional compliance environment.
  • Knowledge of agency, broker, or digital distribution compliance.

Skills Required

  • Bachelor's degree in Law, Business, Finance, Insurance, Risk Management, or a related discipline.
  • 5-8 years of compliance, legal, risk, audit, or regulatory experience in the life insurance or financial services industry.
  • Strong knowledge of life insurance regulatory requirements, product governance, sales conduct, and consumer protection principles.
  • Familiarity with data privacy, complaints handling, and internal control frameworks.
  • Excellent written and verbal communication skills.
  • Strong analytical, problem-solving, and stakeholder management skills.
  • Ability to work independently, manage multiple priorities, and exercise sound judgment.
  • Professional certifications in compliance, risk, insurance, or related fields.
  • Experience working with regulators, external auditors, or in a regional compliance environment.
  • Knowledge of agency, broker, or digital distribution compliance.
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The Company
HQ: Zürich
27,791 Employees

What We Do

Chubb is the world’s largest publicly traded property and casualty insurance company. With operations in 54 countries and territories, Chubb provides commercial and personal property and casualty insurance, personal accident and supplemental health insurance, reinsurance and life insurance to a diverse group of clients. As an underwriting company, we assess, assume and manage risk with insight and discipline. We service and pay our claims fairly and promptly. The company is also defined by its extensive product and service offerings, broad distribution capabilities, exceptional financial strength and local operations globally. Parent company Chubb Limited is listed on the New York Stock Exchange (NYSE: CB) and is a component of the S&P 500 index. Chubb maintains executive offices in Zurich, New York, London, Paris and other locations, and employs 31,000 people worldwide. Additional information can be found at: chubb.com.

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