Manager, Compliance

Posted 22 Hours Ago
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Philippines
5-7 Years Experience
Fintech • Payments • Financial Services
The Role
The Manager, Compliance will oversee and support the Compliance Program aligned with Bangko Sentral ng Pilipinas requirements. Responsibilities include developing processes for compliance, monitoring regulatory requirements, and advising senior leadership. The role requires excellent relationship management and problem-solving skills, along with the ability to communicate effectively across all levels of the organization.
Summary Generated by Built In

You are as unique as your background, experience and point of view. Here, you’ll be encouraged, empowered and challenged to be your best self. You'll work with dynamic colleagues - experts in their fields - who are eager to share their knowledge with you. Your leaders will inspire and help you reach your potential and soar to new heights. Every day, you'll have new and exciting opportunities to make life brighter for our Clients - who are at the heart of everything we do. Discover how you can make a difference in the lives of individuals, families and communities around the world.

Job Description:

Job description (Manager, SLIMTC Compliance (BSP)) / Description du poste (titre)

  • The Manager, Compliance, SLIMTC will be reporting to the Compliance Officer, SLIMTC and support the Compliance Officer, SLIMTC in the delivery of the Compliance Program that meet the expectation of Bangko Sentral ng Pilipinas (BSP).

  • Responsible for developing, implementing and executing processes and controls in SLIMTC to ensure compliance with all applicable laws and regulations as well as Sun Life Enterprise Compliance requirements.

  • The Manager, Compliance, SLIMTC will be expected to provide guidance and direction during business consultation and to provide support the monitoring of regulatory requirements from Bangko Sentral ng Pilipinas (BSP) for Trust and Investment Management business.

Preferred skills (Specialized Knowledge, Problem Solving and Communication Skills) / Compétences particulières (titre)

  • Knowledge and experience on regulatory requirement and framework for Trust Business under Bangko Sentral ng Pilipinas (BSP), specific to Trustee, Trust, Investment Management business.
  • Experience in handling and monitoring regulatory requirements for Investment Restrictions for Unit Trust Investment Funds (UITF), Trustee, Investment Management business.
  • Experience in handling regulator visit, regulator filing would be an advantage.
  • Ability to effectively foster and manage relationships across the organization to deliver against objectives.
  • Demonstrated ability to make sound recommendations to senior leaders and influence business decisions based on thorough analysis, business knowledge and risk consulting expertise.
  • Ability to think strategically and execute tactically.
  • Strong and flexible problem-solving capabilities, willing to challenge the ‘status quo’ and build innovative control solutions.
  • Confident verbal and written communication skills, experience presenting sensitive matters to senior management and should be able to deal with staff from various levels in the organization.
  • Ability to distill complex requirements without oversimplifying or missing critical components.
  • Ability to communicate at all levels in the organization and with other partners in affiliate entities.

Qualifications (Education and Experience) / Compétences (titre)

  • Bachelor degree, in business, accounting, finance, economics, or any other related field, preferably a Certified Public Accountant (CPA), Certified Internal Auditor (CIA), or equivalent

  • At least 5-7 years compliance experience, in governance, risk, and compliance; experience in project management, financial analysis of projects, corporate development, and ESG is also preferred.
  • Completed TIFP’s 1-year Trust Course as a requirement and exposure to BSP regulations for Trust business is prerequisite.
  • Exposure to Securities and Exchange Commission (SEC) regulations or AML related regulations is an advantage.
  • Experience in investment management, mutual funds, banks or financial services industry is an advantage.

Responsibilities (Major Accountabilities) / Responsabilités (titre)

  • Serves as subject-matter-expert with respect to Bangko Sentral ng Pilipinas (BSP) regulatory requirements for Trust business, specific to Trustee, Trust, Investment Management.
  • Support the Compliance Officer, SLIMTC, in the delivery of the Compliance Program for Trust Business that meet the expectation of Bangko Sentral ng Pilipinas (BSP) and Sun Life Enterprise Compliance requirements:
    • Development, localization, refresh and implementation of relevant compliance policy operating guidelines, procedures and/or systems.
    • Provide update of the Compliance Program and respective management/Board reporting on compliance risks.
    • Disseminate new and/or amended regulations and provide guidance/reminder to business functions to comply with the regulations.
    • Facilitate and conduct gap analysis and risk assessment of new and/or amended regulations, and drive the remediation of any identified gaps.
    • Timely escalate incidents of non-compliance and track on the remediation.
    • Conduct Independent Compliance Testing (ICT) on selected functions / process as may be assigned by the Compliance Officer on the basis of risk-based compliance testing plan and track the status of corrective actions taken.
    • Advice business function and facilitate the review of business policies and procedures insofar as compliance with regulatory requirements are concerned, proposals on outsourcing, marketing and transactions/arrangements.
    • Lead the development of local regulatory training programs, and facilitate the delivery of compliance training to business unit employees and compliance staff, as necessary.
    • Support the regulatory audits and internal audit reviews, including organizing the audits and reviews, track and follow through of audit requests, pending regulatory compliance/corrective actions to be undertaken by concerned functions.
    • Develop appropriate reporting metrics and data-driven reporting mechanism to enable effective review, analysis and identification of trends, systemic issues and emerging risks.
  • Provide compliance advice and support to business projects or key business initiatives in end-to-end reviews and risk analysis.
  • Lead the planning and roll out for local/regional/Corporate Compliance project and initiatives.

Job Category:

Compliance

Posting End Date:

30/12/2024

The Company
Toronto, Ontario
499 Employees
On-site Workplace

What We Do

A UK company, Sun Life Financial of Canada is focused on building excellent customer service by offering the highest levels of customer care. We have been serving customers in the UK for over 100 years

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