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Assistant Manager - Compliance & Risk

Job in Atlanta, Fulton County, Georgia, 30383, USA
Listing for: Methodist Welfare Services
Full Time position
Listed on 2026-06-07
Job specializations:
  • Management
    Regulatory Compliance Specialist, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below

Methodist Welfare Services (MWS) is committed to empowering people to have life to the full.

What started as an act of compassion has since grown into a network of services supporting communities across Singapore. We meet people at different points of struggle – poor health, strained relationships, financial distress, or simply feeling alone – and support them to rebuild resilience, restore dignity, and strengthen the relationships that matter most.

Together, our staff, volunteers, partners, and churches serve as a community so that care does not sit on any one pair of shoulders. Our hope is simple: that everyone, regardless of race, language or religion, discovers their strengths, grow into their potential, and experience fullness of life.

Role & Responsibilities

In this dynamic hands‑on role, you will report to Associate Director of Compliance and Risk and collaborate with cross‑functional teams on enterprise risk management and compliance related activities ensuring sound risk and governance across the organisation including areas of overall workplace safety and data protection.

1) Compliance and Risk
  • Assist in the development and enhancement of enterprise risk management framework, risk and compliance policies and procedures
  • Assist in the development and periodic review of risk appetite statements, risk thresholds, Key Risk Indicators and emerging risks
  • Collaborate with risk owners to conduct regular risk assessments; facilitate risk analysis and assessments and propose suitable mitigations when required
  • Maintain active oversight of the organisation’s compliance program & calendar and coordinate with internal stakeholders on timely regulatory submissions and reporting
  • Carry out regular group compliance reviews through audits, assessment and control testing
  • Monitor, evaluate, assess the impact of new or updated statutory and regulatory developments
  • Investigate, manage and follow up on matters related to non‑compliance incidents/breaches and ensure appropriate mitigations are in place
  • Work with the relevant internal stakeholders on the improvement to processes and systems when required
  • Collaborate with risk & compliance owners/representatives in preparation of various risk and compliance reports to senior management, Board and regulators (if applicable), highlighting key risk exposures, potential issues, and mitigation strategies
  • Assist in the implementation and monitoring of risk and compliance management programs and initiatives across the group
  • Act as a liaison between various departments and business units to provide guidance & support and ensure alignment of risk management and compliance efforts
  • Design suitable risk communications and awareness programs; prepare materials and conduct regular orientation, training/workshops to all levels of employees
  • Take charge and manage incident reporting channel; maintain active oversight on the reported incidents and oversee the effective closure of actions; elevate to senior management and key stakeholders when required
  • Organise Risk Management meetings and perform secretariat duties as well as administrative duties where required
  • Provide administrative support for the overall audit function conducted by the internal/external auditors
  • Attend to matters as assigned by Associate Director
2) Data Protection (PDPA)
  • Support the DPO/Associate Director in the review and implementation of PDPA act within the organisation
  • Monitor and review PDPA non‑compliance and/or lapses and provide solutions and mitigating plans to prevent re‑occurrence
  • Conduct PDPA updates and training (where necessary)
  • Attend to matters as assigned by DPO/Associate Director
Qualifications, Competencies & Experience
  • Minimum diploma holder and above in a related field of study
  • Minimum 3 years of hands‑on relevant working experience in a compliance and/or risk management role including experience in an external or internal audit capacity
  • Preferably hold data protection certifications and/or has strong knowledge of PDPA obligations
  • Excellent written and verbal communication skills; able to provide sound advice to stakeholders
  • Proficient in Microsoft Office (Excel, Word, PowerPoint) & data analytics and AI tools to support work
Skills
  • Good leadership and communication skills, able to empathise with all levels of staff and workers.
  • Strong analytical skills, problem‑solving skills and critical thinking to pinpoint issues and ability to deep dive to find the ultimate root cause(s) and measures
  • Ability to work independently under minimal supervision and collaboratively within a team and engage effectively with stakeholders at all levels across multiple business verticals
  • Strong interpersonal, organisational and project management skills
  • Attention to detail, proactive learning attitude, ability to manage multiple priorities and deliver quality work under tight deadlines
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