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Head of Compliance and Risk Management Division

Avomind
CompanyAvomind
CategoryLegal & Compliance
LocationJakarta
RemoteOn-site (inferred)
EmploymentFull-time
LevelDirector
SalaryNot stated by the employer
Posted13 May 2026
Last verified9 Aug 2026
SourceEmployer ATS (workable)
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Description
The Company Our client is a leading reinsurance company within Indonesia’s state-owned enterprise ecosystem, operating under the Indonesia Financial Group. They play a critical role in strengthening the national insurance and reinsurance landscape, offering long-term career stability and opportunities for cross-entity mobility within the group. They combine institutional strength with ongoing transformation initiatives to enhance technical capabilities and governance standards. The Role The Head of Compliance and Risk Management Division is responsible for planning, directing, and controlling all programs within the Compliance & Risk Management Division, including: Implementing risk management processes and providing risk-related reports for monitoring company performance and supporting management decision-making. Managing business continuity programs to ensure critical business functions continue during normal, emergency, and post-incident conditions. Conducting risk assessments and ensuring compliance with OJK regulations. Ensuring company compliance in all operational activities and managing the Early Warning System (EWS). Responsibilities Develop work plans and budgets for the Compliance & Risk Management Division. Ensure all processes comply with GCG, SOPs, and regulations. Manage risk analysis, mitigation strategies, and portfolio risk. Lead, coach, and develop the team. Ensure smooth operations and optimize resources. Improve systems, procedures, and workflows. Collaborate internally and externally. Oversee administrative functions. Evaluate risk management systems. Core Duties Ensure job descriptions and SOPs are aligned with business developments. Conduct coaching and mentoring. Act as a role model for company values (AKHLAK). Oversee compliance, reporting governance, and risk security. Approve and control division budgets. Ensure regulatory compliance across the company. Ensure compliance implementation in all activities. Report compliance and risk issues. Plan and ensure EWS runs effectively. Ensure all business units operate according to regulations. Job Challenges Adapting compliance and risk management to evolving regulations (especially OJK). Rapid technological changes. Constantly evolving business risks. Low awareness of compliance & BCM across the organization. Authority Approve compliance & risk management reports. Propose division programs and initiatives. Approve updates to processes, job descriptions, and SOPs. Approve improvements to systems. Requirements Education Minimum Bachelor’s Degree Certifications: CRMP (Risk Management) Insurance certification (AAAIK / AAAIJ minimum) Experience Minimum 5 years of relevant experience Experience Strong understanding of compliance & risk management in reinsurance Strategic planning capability Knowledge of compliance, risk management, and BCM Ability to implement and manage risk frameworks Strong reporting and control capabilities Ability to ensure system effectiveness Analytical skills in risk strategy Presentation and communication skills Negotiation skills Computer proficiency (MS Office) Passive English proficiency Character & Attitude High integrity and honesty Professional, responsible, independent Strong teamwork and communication Service-oriented mindset Respectful and collaborative Leadership & Managerial Skills Strong work direction Organizational capability Leadership ability Decision-making skills Relationship-building Self-control and discipline Ability to drive change High motivation Working Relationships Internal Board of Commissioners Board of Directors All committees Division Heads & related units External Government institutions OJK (Financial Services Authority) Shareholders Business partners & associations