Develop, implement, and oversee MBAL’s Compliance Framework, including the formulation of compliance policies, compliance programs, and compliance risk management systems in alignment with MBAL’s strategic objectives and direction for each period.
Establish and operate an effective Compliance Monitoring System, ensuring timely aggregation of compliance reports and the provision of actionable recommendations to relevant stakeholders.
Design and implement comprehensive compliance communication and training programs to promote awareness and ensure consistent adherence to compliance requirements across the organization.
Develop and execute the annual compliance inspection and monitoring plan; coordinate post-monitoring remediation and corrective action plans following internal reviews and external inspections conducted by competent regulatory authorities.
Prior experience in Compliance, Audit, Risk Management, or Legal Affairs is preferred; experience working at one of the Big Four firms is highly desirable.
Experience in the life insurance sector is considered an advantage.
Bachelor’s degree in Insurance, Auditing, Finance, or Banking.
English proficiency equivalent to IELTS 6.0 or higher (or other recognized certifications of equivalent level).
Strong data handling and analytical skills.
Excellent problem-solving mindset with a high degree of independence and self-management in task execution.
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