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AU Small Finance Bank - Manager - Insurance Risk & Compliance

3.00 to 6.00 Years   Jaipur   08 Feb, 2023
Job LocationJaipur
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaGeneral / Other Software
EmploymentTypeFull-time

Job Description

    Brief Objective of Position & Its Contribution to the Business - Established a sound regulatory compliance framework, regulatory engagement & policy advocacy program.- Build strong regulatory engagement & direct liaison with all functions and insurance partners - Draw a detailed and efficient process for implementing all applicable regulations by RBI, IRDAI, PFRDA & SEBI for Insurance and Investment Business - Always ensure and be ready with all functions for regulatory compliances and audit.- Represent the Bank in various industry bodies of digital, fintech other working groups on regulatory policies, advocacy programs.- Create regulatory knowledge for new and renewals of licenses and related registrations. Duties/Responsibilities - - Liasoning with Internal auditors and statutory auditors and effectively handling SEBI, IRDA, PRFDA inspections- Design and implement Sales Process Reviews across all channels - DST, Tele Sales, Web Sales, Group Insurance, POS channels.- Evaluate the impacts of any new regulation, decision, ability to anticipate issues and proactively create a solution for open gaps and risks- Build process around regulatory compliance requirements- New product & Process approvals Ensure applicability of law like data protection, new license regulations and structure/reporting.- Conducts risk assessments, Sales Process Assessment, collecting and analyzing documentation, statistics, reports, and market trends.- Investigate all early claims, Policy lapsation trend analysis and recommendation, Fraud investigation, Mis selling action.- Establishes policies and procedures to identify and address risks in the organizations services and departments.- Reviews and assesses risk management policies and protocols; makes recommendations and implements modifications and improvements.- Recommends and implements risk management solutions such as insurance, safety and security policies, business continuity plans, or recovery measures.- Reviews and analyzes metrics and data such as cash flow, inventory, breakage, and employee activity that could uncover fraudulent behavior.- Drafts and presents risk reports and proposals to executive leadership and senior staff.- Performs other duties as directed. Qualifications LLB/MBA finance/CA (addl. qualification of CS /LLM will be added advantage. LLB preferred because the role involves interpretation and engagement for policy and regulations). Experience Minimum 3 -6 years post-qualification in regulatory, legal and compliance function with direct engagement with financial sector regulators like RBI, SEBI, IRDAI, PFRDAI.- In-house regulatory or compliance portfolio of financial services company handling inspection and audit by regulators, direct engagement with regulators. Functional Competencies - Advance Excel with VB and Macros, Reporting skills and Presentation - Committed and ready to work under constraints/ pressure.- Liaison skills and ability to participate in industry associations, fintech committees and place the companys viewpoint on regulatory enablements and issues.- Demonstrated ability to handle regulatory inspections and audits independently.- High degree of professional ethics and integrity, Excellent judgement and analytical skills, good interpersonal skills- Strong & Effective communication and influencing skills Behavioral Competencies - Self-Driven & Proactive - Result Oriented with a positive outlook - Well-presented and business-like - Good speaking & writing skills- Stable career history, Exceptional work ethic & drive, Willing to travel,

Keyskills :
cash flowweb salessales processtrend analysisrisk managementgroup insurancefinancial sectoranalytical skillscorporate liaisonfinancial services

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