Provide support in reviewing agents’ sales activities in a specific Asia market, including Balanced Scorecard assessments and other compliance reviews or testing activities as required.
Ensure strict monitoring of deliverables and completion of tasks within the established turnaround time.
Conduct reviews in accordance with approved guidelines, policies, and procedures.
Escalate potential issues to the business unit in a timely and appropriate manner.
Assist in the development and preparation of training materials, reports, and presentation decks for team or management use, as needed.
Maintain effective working relationships with the team, business units, and other stakeholders through consistent communication and collaboration in resolving concerns.
Document workflows, processes, and narratives related to testing activities and compliance reviews as required.
Perform other ad hoc compliance reviews, testing tasks, or support activities assigned by the immediate supervisor, market partners, or Asia Segment Compliance.
Requirements
2–3 years of experience in compliance review and risk assessment, covering areas such as sales conduct, sales compliance, product compliance, and/or distribution oversight.
Experience in life insurance or mobility is preferred.
Audit experience is also acceptable if aligned with accounting functions or sales process governance.
Ability to perform independent analysis and judgment (role cannot be automated end‑to‑end)
Professional knowledge of the financial services industry, preferably in insurance and/or banking.
Bachelor’s degree, preferably related to Banking, Finance, Insurance, Accounting or related course.
Benefits
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.