Senior Compliance Officer, Risk Management

AIG - New York, NY

January 25, 2012

Job Summary

Company
AIG AIG
Location

New York, NY, US

Job Type
Regular
Job Classification
Full Time
Experience
not provided
Education
not provided
Company Ref #
28688672868867
AJE Ref #
555380493
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Job Description

The Senior Compliance Officer, Risk Management is responsible for assisting the Compliance Director, Risk Management in overseeing all ongoing activities related to the development, implementation and maintenance of AIG's corporate compliance risk management program.

Support oversight and maintaining of AIG's corporate compliance risk management program. Work with the corporate compliance subject matter experts to develop and implement risk libraries that are applicable to regulatory requirements, internal policies and procedures.
Work with business unit compliance officers to ensure that compliance risk assessments are designed and performed properly and appropriate corrective actions are taken. Verify business units have appropriate procedures and processes to support AIG's compliance risk assessment program.

In conjunction with the business unit compliance officers, review new business and product opportunities to ensure that compliance risks are identified and proper controls are established within the businesses.
Liaise with business unit compliance officers and subject matter experts to identify and gather available compliance data, metrics and information. Analyze and identify trends and develop regular reporting of risk metrics for senior management. Notify senior management of emerging trends and issues and work with business unit compliance officers to implement any necessary controls.
Work with the businesses and Operational Risk Management, Internal Audit, and other corporate functions to ensure proper implementation and monitoring of the global compliance risk assessment program.

Oversee content and guide delivery of compliance risk assessment training programs to business unit compliance officers.


Minimum of 5-7 years of relevant experience with prior experience in development of a global compliance risk assessment program. Significant risk management, audit or compliance experience preferred.

A strong education including an undergraduate degree; graduate degrees in relevant areas of study preferred.

Strong experience in risk based auditing and risk/control activities and relevant risk mitigation strategies.
Insurance and financial services industry knowledge.

Demonstrated ability to influence and work effectively within a highly-matrixed organization with employees at all levels.
Self-starter with the ability to meet or exceed deadlines, prioritize, multi-task, and maintain flexibility in fast-paced, changing environment.
Ability to confront conflict and difficult issues in a professional, assertive and proactive manner.
Strong problem-solving and project management skills.
Excellent organizational, written, verbal and presentation skills.

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