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Compliance Officer & MLRO

Job in Manama, Bahrain
Listing for: InsuranceMarket.ae™
Full Time position
Listed on 2026-01-17
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Financial Crime
Salary/Wage Range or Industry Benchmark: 17500 - 22500 BHD Yearly BHD 17500.00 22500.00 YEAR
Job Description & How to Apply Below

Full Job Description Only Bahraini National

  • Serve as the appointed MLRO; manage all FIU interactions, including timely STR/SAR submissions, responses to RFIs, and record‑keeping
  • Maintain and continuously improve the AML/CFT framework: enterprise AML risk assessment, policies/procedures, Customer Due Diligence (CDD/EDD), ongoing monitoring, sanctions screening, and transaction monitoring appropriate for an insurance intermediary
  • Oversee sanctions/PEP screening operations: list management, alert triage and escalation, quality assurance, and audit trails
  • Design and execute the AML monitoring plan and thematic reviews across sales, policy administration, claims support, and partner onboarding
  • Lead AML/CFT training and awareness (induction and annual refreshers); maintain training registers and attestations
  • Produce AML MI for leadership and the Board: STR volumes/quality, alert SLAs, KYC defect rates, high‑risk customer trends, remedial action status
  • Manage incident/breach logs and remedial actions; ensure timely closure and lessons learned
  • Advise on higher‑risk customers, products, geographies, and distribution channels; approve risk‑based exceptions with documented rationale
  • Coordinate independent AML reviews and support internal/external audits and regulatory inspections
  • Own AML tooling and documentation repositories; ensure evidence is organized and exam‑ready
  • Own and maintain the Compliance Framework: policies, procedures, monitoring plan, risk assessment (compliance and AML/CFT), and annual compliance program
  • Own and maintain compliance tracker and compliance calendar
  • Oversee licensing/authorizations and ensure ongoing compliance with CBUAE rules applicable to insurance brokers/intermediaries (including reporting, returns, notifications, and on‑site inspection readiness)
  • Lead regulatory reporting and correspondence; manage information requests, exams, remedial action plans, and board/management reporting
  • Design and execute second‑line monitoring and thematic reviews across all regulatory requirements
  • Maintain sanctions and PEP screening standards; ensure name screening, list updates, alert handling, and audit trails
  • Review of all contracts and agreements prior to their signatures
  • Analyzing and implementing all Regulatory Updates as and when they are released
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