Job description
Hudson Talent Solutions is seeking a 12 Month Market Conduct Compliance Analyst (Insurance) to join our risk and compliance team in Singapore. This contract role focuses on ensuring adherence to market conduct standards and regulatory requirements within the insurance sector. The position offers a structured, 12-month engagement with competitive compensation and opportunities to deepen expertise in regulatory compliance.
As a Market Conduct Compliance Analyst, you will conduct quarterly BSC reviews and lead internal investigations into potential market misconduct by representatives. You will analyze data, coordinate with stakeholders across business lines, and prepare clear, actionable reports for management and regulatory bodies. The role also involves contributing to policy improvements, training materials, and the strengthening of internal controls to mitigate risk and protect customers. If you are meticulous, collaborative, and committed to upholding the highest standards of conduct, this is an excellent opportunity to advance your career in compliance and risk management.
Responsibility
- Conduct quarterly BSC reviews and monitor sales practices, suitability, and conflicts of interest within the insurance business.
- Investigate potential market misconduct by representatives, including data collection, interviews, and evidence preservation.
- Prepare timely escalation reports and regulatory submissions; support regulatory inquiries and external audits.
- Monitor business activities for compliance with applicable laws and internal policies; track remediation actions and remediation effectiveness.
- Develop and maintain compliance dashboards and KPI metrics; communicate findings to senior management.
- Liaise with cross-functional teams (sales, operations, legal, risk) to remediate issues and strengthen controls.
- Assist in updating policies, procedures, and training materials on market conduct standards.
- Support risk assessments and surveillance programs to identify emerging conduct risks.
Qualification
- Bachelor's degree in Finance, Economics, Law, or a related field.
- Minimum 2 years of experience in market conduct, compliance, or investigations within insurance or financial services.
- Strong knowledge of Singapore insurance regulation and market conduct standards.
- Analytical mindset with ability to interpret data, identify trends, and draw actionable conclusions.
- Excellent investigative, interviewing, and documentation skills; strong attention to detail.
- Proficiency in Microsoft Office; familiarity with data analytics tools is a plus.
- Excellent communication and stakeholder management skills; ability to present to senior leadership.
- Ability to work in Singapore and handle confidential information with integrity.