Provide advisory support to leadership, management and other stakeholders in business operations on strategic initiatives and compliance related risks and events
Perform Canada Branch Compliance Control Assessments (via Ethidex tool), Group Compliance Annual CRAs, Regulatory Risk Assessments and Targeted Risk Assessments
Deliver Branch Management and Annual Compliance CCO Reports to Management
Complete annual Regulatory Compliance Management Monitoring & Testing plans and perform related Testing activities together as part of the Canada Branch Compliance team
Perform Compliance risk related Regulatory Monitoring and updates global Swiss Re Regulatory Monitoring tools (Corlytics)
Represent Compliance in local interactions with Regulators and other external parties
Support Compliance related Audits and other Compliance function related matters specific to the P&C and L&H business
Fulfil Compliance related mandates within the Canada Branch governance structure.
Requirements
University degree in Business or related field
Minimum 7 years' experience in compliance, legal, audit, or risk—ideally in insurance or financial services
Excellent communication, stakeholder engagement, and presentation skills with strong executive presence
Solid understanding of Canadian insurance regulations and compliance risks
Comfortable using technology
Strong regulatory acumen—able to interpret new/updated regulations and advise on impacts
Ability to identify regulatory risks and support effective risk mitigation and control design
Strong project management skills; able to manage multiple priorities and coordinate across teams
Strategic thinker who can see the big picture and act with long‑term goals in mind
High integrity, discretion, and professionalism when handling confidential information.
Benefits
Total compensation approach including base pay, short-and long-term incentives, and benefits