We're looking for an Assistant Manager, Regulatory Compliance to join our Central Compliance team at MBPS. This role supports Regulatory Compliance Management, with a focus on supporting a team responsible for Regulatory remediation, managing Regulatory inventory, overseeing risk and control activities, and supporting regulatory examination. The ideal candidate brings a strong background in Regulatory Compliance Management field and demonstrates expertise in driving compliance initiatives across global stakeholders.
Position Responsibilities:
- Responsible for monitoring, analyzing, and escalating regulatory changes, and remediation efforts ensuring timely assessment and integration into the compliance framework.
- Foster team engagement and support professional development by providing coaching, feedback, and growth opportunities aligned with individual and organizational goals.
- Oversee the identification, classification, and governance of authoritative sources, ensuring alignment with internal policies and regulatory expectations across jurisdictions.
- Provide subject matter expertise in interpreting regulatory developments and assessing their impact on business processes, controls, and compliance obligations.
- Collaborate with audit, risk, and business stakeholders to ensure regulatory risks are appropriately captured, assessed, and addressed through effective control procedures.
- Support the design and execution of risk and control self-assessments (RCSAs), ensuring consistency and alignment with enterprise risk management standards.
- Drive continuous improvement in regulatory change management processes, including documentation standards, stakeholder engagement, and reporting practices.
- Represent the team in governance forums, audits, and regulatory reviews, providing insights and evidence related to regulatory risk oversight and control effectiveness.
- Deliver training, walkthroughs, and coaching to team members and business partners to build awareness and capability in regulatory compliance and risk management practices.
Required Qualifications:
- 3 - 4 years experience in Compliance, Legal, Risk, Banking, Fintech, or Audit.
- Experience in Regulatory Compliance is highly preferred.
- Working experience in the Insurance, Asset Management, Banking or Financial Services.
- Bachelor's degree preferably in accounting, law, finance, business, or related fields.
Preferred Qualifications:
- 1-3 years management experience, good leadership ability
- Good interpersonal skills, creative and open minded, willingness to learn and adaptive to change.
- Proven experience in Compliance, Legal, Risk, or Audit.
- Proficient in MS Office Suite of products including MS Word, Excel, Power Point.
- Intermediate skills in MS Excel – use of formulas and report formatting.
- Knowledge or experience in data analytics and visualization tools such as PowerBI is preferred.
- Fluent in English, good English-language writing skills.
- Flexible and adaptable when dealing with change with a strong awareness and understanding of cultural diversity.
- Ability to work independently under pressure and make prompt decisions in a fast-paced environment.
- Diligent in meeting given deadlines
- Strong eye for business, excellent judgement, and the ability to make decisions in times of uncertainty.
- Proficiency in developing and writing policies and procedures.
- Understanding of regulatory compliance management programs and methodology.
When you join our team:
- We'll empower you to learn and grow the career you want.
- We'll recognize and support you in a flexible environment where well-being and inclusion are more than just words.
- As part of our global team, we'll support you in shaping the future you want to see.