Officer, Regulatory Compliance
Description
To ensure the Holding Company and subsidiaries adhere to the laws, regulations and policies by monitoring regulatory changes, conducting risk assessments, developing policies and implementing compliance programmes. Ensure timely dissemination of new circulars/communication from regulators within 24 hours to the responsible teams. Circulate draft regulations to the responsible teams and coordinate the collation of comments for submission. Prepare a compliance bulletin on consolidated regulatory developments and communicate on a periodic basis. Ensure the Compliance policies and procedures are up-to-date with relevant regulatory requirements and African Region localization as required and approved by the relevant governance committees. Ensure all subsidiaries adopt and implement all Compliance policies. Investigate and report compliance breaches and ensure corrective actions. Conduct quality assurance reviews. Monitor adherence with compliance policies and standards in order to identify further areas of improvement, detect breaches and exposures. Qualifications Bachelor's degree in Finance, Accounting, Law, Business Administration or related field. Master’s Degree can be an added advantage. Compliance certification/related professional qualification can be an added advantage Experience: 1-2years experience in financial services, knowledge of law and regulations. Strong business knowledge in terms of applicable business areas. Ongoing, awareness of regulatory requirements which relate to the Group’s business as well as compliance best practices and trends. 3-4years experience in stakeholder management and interpersonal relationship capabilities and knowledge in financial products and services.
Skills
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