Work closely with relevant internal stakeholders to obtain, clarify, validate and consolidate information for compliance reporting within required timelines.
Act as a central coordination point for compliance reporting inputs.
Prepare, coordinate and maintain recurring and ad hoc compliance reports for internal governance forums, management and executive committees, Board and Board sub-committees.
Ensure reporting is accurate, complete, consistent and aligned to internal standards.
Maintain reporting calendars, submission schedules and version control for all compliance reports.
Ensure accurate and timely follow-up on reporting actions, decisions and commitments arising from governance forums.
Analyse data to identify trends, themes, and forward-looking insights that support effective governance discussions and decision-making.
Perform quality assurance checks on reporting inputs to ensure factual accuracy, completeness and consistency.
Requirements
Minimum of 3–5 years’ experience in compliance, regulatory reporting, governance, risk, or a related role within financial services.
Practical experience in preparing governance, management, or regulatory reports.
Working knowledge of financial services regulatory frameworks (e.g. insurance, banking, or market conduct).
Experience working with senior stakeholders and managing inputs across multiple teams.
Strong proficiency in Microsoft Office (particularly Excel, Word, and PowerPoint).