- The Compliance Analyst reports to the Chief Risk Officer.
- The position is located in Malta
- In-/external training will be supported and provided where required.
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YOUR JOB
• Develop, review, and update policies, procedures and controls to ensure adherence to regulatory requirements and industry best practices in collaboration with cross-functional teams;
• Streamline the process of identifying, analysing, and addressing regulatory updates, ensuring timely notifications and actionable guidance for stakeholders;
Assist in the ongoing monitoring and assessment of compliance risks to identify areas for improvement;
• Support in implementing and monitoring of compliance controls;
• Play a key role in supporting the company's compliance monitoring programme to ensure compliance with regulatory requirements and internal policies;
• Support in promoting compliance and risk management principles;
• Offer guidance and support to employees on compliance-related matters;
• Support in maintaining the corporate governance framework, including support for Board of Directors’ and Committee meetings;
• Support in the Non-Financial Risk Management Framework as required by management; and
• Other general compliance duties assigned by management.
YOUR PROFILE
• 3 to 5 years’ experience in regulatory affairs, ideally in the insurance field; • Highly organised, precise approach to work, pro-active and result-oriented;
• Excellent communication skills and command of the English language to communicate verbally and in writing with people at all levels;
• A good understanding of Solvency II, including compliance principles and internal controls; •
A good understanding of the Maltese company and legal framework would be considered an asset; and
• Ability to work independently and as part of a team with motivation for knowledge transfer.