Join Chubb as a Compliance Analyst supporting regulatory compliance and incident management in the insurance sector across Australia and New Zealand.
Your Role
Here’s what you will be doing :
- Support the Head of Compliance with compliance reporting and managing the Incident and Breach process.
- Develop and maintain compliance policies.
- Engage in assurance work with ASIC, APRA, and other regulatory bodies to ensure adherence to regulatory, industry, legal, and company standards.
- Analyse incidents and breaches, ensuring compliance with regulatory timelines for identification, assessment, and reporting.
- Develop reporting and analysis for the Incident and Breach review panel.
- Assist in identifying potential breaches of legislation, regulations, and obligations by the First Line.
- Enhance compliance management within the First Line of Defence by fostering stakeholder relationships and increasing compliance knowledge.
- Support compliance training initiatives by creating content and assisting delivery to business units and third-party providers.
- Contribute to Compliance Assurance Reviews (CARs) and monitoring tasks.
- Assist the First Line in developing and implementing procedural and control changes.
- Collaborate on sanctions programs by staying updated with relevant sanctions requirements.
- Compile and report on compliance activities to risk and compliance committees, including the Enterprise Risk Committee and Board Audit Committee.
- Work with compliance team members, Enterprise Risk Management, and Internal Audit to promote an effective Three Lines of Defence / Responsibility model.
About You
The company is looking for :
Recent graduate in Law or a junior lawyer.Prior experience in a similar role or as a compliance professional is a plus.Strong understanding of regulatory requirements within the insurance sector in Australia and New Zealand, with the ability to interpret relevant regulations and legislation.#J-18808-Ljbffr