Senior Compliance Manager
This role is a Senior Compliance Manager position based in BGC, Taguig, focused on strengthening regulatory compliance within a life insurance and financial services environment. The role partners closely with business teams to implement compliance frameworks, monitor regulations (IC, SEC, AMLC, NPC), conduct risk assessments and audits, deliver training, and support governance and board reporting in a fast‑evolving, regulated setup.
What you'll do:
As a Senior Compliance Manager based in BGC, Taguig, you will play an instrumental role in shaping the organisation’s approach to regulatory adherence. Your day-to-day responsibilities will involve close collaboration with colleagues from various departments as you design effective compliance frameworks tailored specifically for a life insurance context. You will be responsible for monitoring evolving regulations from multiple authorities—ensuring that every requirement is understood by relevant teams and acted upon promptly. By conducting thorough risk assessments and audits, you will help safeguard the company against potential vulnerabilities while fostering an environment where ethical conduct is second nature. Your ability to deliver clear training sessions will empower staff at all levels to embrace best practices in compliance. Additionally, your expertise will be called upon when preparing insightful reports for leadership or investigating incidents that require careful analysis. Success in this role means not only meeting external expectations but also continuously enhancing internal processes so that the company remains ahead of industry trends.
- Promote a strong compliance culture by championing adherence to regulatory standards and internal policies across all departments.
- Monitor, interpret, and cascade relevant laws, rules, and regulations issued by governing bodies such as the Insurance Commission, SEC, AMLC, and NPC to concerned business units while tracking actions to completion.
- Ensure timely submission of routine reports, statements, registrations, renewals of certificates of authority, and other regulatory requirements to appropriate regulators.
- Design and implement comprehensive compliance programmes that address current regulatory requirements while proactively mitigating organisational risks.
- Conduct regular risk assessments, audits, and testing activities to identify potential areas of concern and implement corrective measures where necessary.
- Develop engaging training programmes for employees at all levels to raise awareness of compliance obligations and promote adherence to internal procedures.
- Prepare detailed regulatory updates and compliance reports for senior management or the Board that clearly communicate findings, recommendations, and business impacts.
- Collaborate with multiple business units to ensure a cohesive approach towards compliance management and risk mitigation throughout the organisation.
- Investigate incidents of non-compliance thoroughly and report findings in accordance with established internal protocols.
- Support corporate governance initiatives by assisting with corporate housekeeping tasks as required by the Legal & Compliance Department.
What you bring:
To excel as a Senior Compliance Manager in this esteemed life insurance organisation, you will bring substantial hands-on experience managing regulatory requirements within highly regulated industries—ideally insurance or financial services. Your academic background provides a solid foundation for understanding intricate legal frameworks while any additional certifications demonstrate your commitment to ongoing professional development. You possess outstanding interpersonal skills which enable you to build trustful relationships across all levels of the company—from board members through operational staff—ensuring everyone understands their role in maintaining compliance. Your keen eye for detail ensures nothing slips through the cracks whether reviewing submissions or conducting risk assessments. A proactive approach means you are always looking ahead for emerging risks or opportunities for improvement rather than simply reacting after issues arise. Most importantly, your collaborative spirit ensures that every project benefits from shared knowledge and collective effort—making you an invaluable asset not just within Legal & Compliance but throughout the entire organisation.
- At least 5-7 years of relevant experience in compliance management or regulatory affairs within the insurance sector or similar financial services environments.
- Bachelor’s degree in Business Administration, Law, Finance or related discipline; additional certifications in compliance-related fields such as data privacy or anti-money laundering are advantageous.
- Demonstrated ability to lead cross-functional initiatives that foster integrity and ethical behaviour throughout an organisation.
- Exceptional communication skills enabling you to influence stakeholders from diverse backgrounds—including senior executives—as well as junior colleagues across different business units.
- Meticulous attention to detail when interpreting complex regulations or preparing documentation for submission to authorities.
- Proactive attitude combined with a willingness to take initiative on new projects or process improvements without waiting for direction.
- Excellent problem-solving abilities allowing you to identify root causes quickly during investigations or audits while recommending practical solutions.
- Collaborative mindset with proven success working effectively within teams drawn from multiple disciplines or departments.
What sets this company apart:
The organization is a technology‑enabled financial services company operating in a regulated environment. It focuses on delivering consumer‑centric financial solutions through digital channels and partnerships.
The company has a lean, agile structure with a strong emphasis on governance, risk management, and compliance, and works closely across business and control functions in a fast‑evolving landscape.
What's next:
If you are ready to take your career in compliance management to new heights within an inclusive environment that values your expertise—this is your moment!
Apply today by clicking on the link provided; seize this chance to contribute meaningfully while advancing your own professional journey.
Due to the high volume of applications we are experiencing, our team will only be in touch with you if your application is shortlisted.
About the job
Contract Type: Perm
Specialism: Banking & Financial Services
Focus: Compliance
Industry: Insurance
Salary: Negotiable
Workplace Type: Hybrid
Experience Level: Senior Management
Location: Taguig
FULL_TIMEJob Reference: 8H8AUW-446941C2
Date posted: 30 April 2026
Consultant: Marielle Guevarra
philippines banking-financial-services/compliance 2026-04-30 2026-06-29 insurance Taguig National Capital Region PH Robert Walters https://www.robertwalters.com.ph https://www.robertwalters.com.ph/content/dam/robert-walters/global/images/logos/web-logos/square-logo.png true