Pensions Compliance Lead role at Coralisle Group Ltd.
About Us A leading regional player in the retail insurance sector, Coralisle Pension Services Limited is a subsidiary of Coralisle Group Ltd, with more than 700 employees and offices in Bermuda and 20 other Caribbean countries, we offer a complete range of premier financial and insurance services to our individual and corporate clients. We know that our products make a real difference to our clients and their families.
The Role The Pensions Compliance Lead is responsible for ensuring that the Pension business operates in full adherence to all applicable regulatory requirements, internal policies, and industry best practices. This role develops, implements, and monitors the compliance frameworks that govern pension operations, ensuring effective oversight of all regulatory obligations. The Pension Compliance Lead also acts as the primary liaison with relevant regulatory bodies, coordinating required submissions, managing examinations, and maintaining proactive communication to uphold a strong, enterprise-wide culture of compliance. In addition, this role plays a critical operational role in supporting the Client Onboarding and Client Services Teams by overseeing all compliance-related components of the Pension business, which includes conducting and reviewing Know Your Customer (KYC) and Anti-Money Laundering (AML) due-diligence checks, verifying regulatory documentation, assessing client eligibility requirements, and ensuring that onboarding workflows adhere to the compliance standards established by CG Group Compliance.
The Person
* Bachelor’s degree in Finance, Business, Law, Compliance, Risk Management, or a related field required
* Minimum 3–5 years of experience in compliance and/or regulatory oversight, or pension administration within the financial services industry.
* Strong understanding of pension legislation, regulatory frameworks, and AML/KYC requirements across relevant jurisdictions.
* Experience with regulatory reporting, compliance audits, and examiner interactions.
* Familiarity with pension products, structures, and operational processes.
* Competence in using compliance systems, AML monitoring tools, and documentation management platforms.
* Excellent written and verbal communication skills, with the ability to prepare clear reports, summaries, and regulatory responses.
* Confident in managing discussions with regulators, external partners, and senior internal stakeholders.
* Strong client service mindset, able to support clients with KYC and onboarding needs in a professional and approachable manner.
* Ability to guide, support, and oversee CPS personnel involved in compliance and AML/CFT functions.
* Strong collaborative skills with the ability to work effectively across departments.
* Proactive, self-driven, and capable of managing multiple priorities in a fast-paced regulatory environment.
* High ethical standards and commitment to maintaining regulatory integrity.
* Commitment to continuous learning and staying current with regulatory developments, best practices, and industry trends.
The Benefits We value our employees and offer a supportive and inclusive work environment. We provide opportunities for professional growth and development, competitive compensation, and a comprehensive benefits package.
Seniority level
* Associate
Employment type
* Full-time
Job function
* Legal, Finance, and General Business
Industries
* Insurance, Legal Services, and Financial Services
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