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A financial services group in Sandton is seeking a Senior Compliance Officer to assist the Investment Products team with compliance management. The ideal candidate will have at least 3 years of experience in compliance within the financial services sector and a thorough understanding of relevant regulations. Responsibilities include developing compliance reports, engaging with regulators, and ensuring regulatory obligations are met. The company emphasizes equal opportunity in hiring.
The CLIENT is a large JSE listed financial services group with a number of business verticals and product offerings to both consumers and employer groups. The Client has a dynamic and fast paced environment that enables smart, self-driven people to be their best. As global thought leaders, The CLIENT is passionate about innovating in order to not only achieve financial success, but to ignite positive and meaningful change within our society.
The core purpose of the Group Compliance department is to ensure that The CLIENT Group’s core purpose and reputation is protected. The ambition of the Group Compliance department is to be the most respected and trusted compliance practice in the financial services sector. The department must be visible, trusted and respected. The Product Compliance unit is a Pillar within The CLIENT Group Compliance that, as an independent second line function, provides sound advice regarding legislation, regulation, industry standards, codes, guidelines and best practice to the CLIENT product houses through the application of Compliance Risk Management principles, policies, processes and procedures.
The Product Compliance unit is looking for a dynamic individual to join its Investment Product Compliance sub-team.
A Senior Compliance officer with a least 3 years in compliance within the financial services industry with experience in Product Compliance, with experience in drafting Compliance Risk Management Plans and conducting Compliance monitoring.
A requirement for in-depth understanding of the Collective Investment Schemes Act, the FAIS Act (especially Cat I, II and III) and the Long-Term Insurance Act as it relates to the underwritten investments policies.
To effectively and proactively assist the CLIENT Investment Products team in managing its responsibility to comply with all the regulatory requirements and minimize the compliance risks identified in business by implementing compliance risk management process that includes the identification, assessment, management, monitoring and reporting of compliance risks that are faced by the relevant stakeholder.
In addition to the above, the role also requires engagement with the regulatory bodies from time to time.
The successful candidate will be required, primarily, but not limited to:
The Company’s approved Employment Equity Plan and Targets will be considered as part of the recruitment process. As an Equal Opportunities employer, we actively encourage and welcome people with various disabilities to apply. Preference will be given to African and Coloured Candidates