Reinsurance Group of America, Incorporated

Vice President, Compliance Governance

Reinsurance Group of America, Incorporated

full-time

Posted on:

Origin:  • 🇺🇸 United States

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Salary

💰 $146,950 - $218,950 per year

Job Level

Lead

About the role

  • Reporting to the VP, Global Chief Compliance Officer, the Vice President of Compliance Governance is responsible for improving, and carrying out an effective compliance program globally to comply with internal policies and external regulations. This role, through subject matter expertise, contributes to the development and execution of the compliance strategy to anticipate, access, and recommend best practices to the business and regional/local compliance officers. Provides subject matter expertise to develop, implement, and maintain a compliance framework for an effective global compliance, fraud, and ethics program Oversees the compliance risk mitigation efforts and recommends appropriate revisions and modifications as needed. Oversees the management and development of compliance global policies and educational programs for all employees, consultants, contractors, or others working in the organization. Establishes governance structures that will align with and be supported by the corporate enterprise risk management framework, improve the overall compliance risk management competency and promote the Global Ethics and Compliance program best practices. Provides strategic advice to management on business matters pertaining to compliance and resolves complex compliance problems impacting RGA. Stays current on regulatory developments and industry trends to ensure the compliance program remains current and effective. Oversees the Risk Compliance Officer program and provide recommendations to the program to ensure collaboration between the local and global programs. Capable of handling sensitive matters across all levels of the organization with discretion and confidentiality related to compliance or ethics internal investigations and special investigations unit (SIU) matters. Serves as subject matter expert and compliance advisor to the Chief Compliance Officer on trends and emerging risks and serves as an advocate for the CCO and the compliance program. Performs supervisory duties including, but not limited to, hiring, training, evaluating, coaching, and disciplining of direct reports and makes recommendations to resourcing needs.

Requirements

  • Bachelor’s Degree in Arts/Sciences (BA/BS) or equivalent experience Post-graduate degree or professional qualification in related field is an asset 15+ Years of experience in compliance, legal practice or risk management Minimum 10 years of management experience including management of other managers Experience with various compliance legislation (e.g., AML, Economic Sanctions, Fraud, Bribery & Corruption, Conflicts of Interest, Data, Artificial Intelligence, etc.) is a preferred asset Identifies and resolves technical, operational and organizational problems Guides, influences and persuades others either internally in other areas or externally Expert ability to make timely and effective decisions and produce results through strategic planning and the implementation and evaluation of programs and policies Strong analytical, critical thinking and decision-making skills and excellent written and verbal communication skills Advanced project management skills; demonstrates ability to evaluate project objectives and scope feasibility, gain understanding, schedule resources, and manage budget to plan Highly advanced ability to work well within and manage a team Ability to quickly learn and understand the business of RGA Insurance industry knowledge and certifications (e.g., AIRC, CCP, CCEP, or other technical certifications) are considered preferred assets #LI-DL1 #LI-HYBRID