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Compliance Manager

Lesaka Technologies Inc.

Cape Town

On-site

ZAR 550 000 - 700 000

Full time

2 days ago
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Job summary

A financial services company based in Cape Town is seeking a Compliance Manager to oversee compliance with laws and regulations. This mid-senior level position requires strong organizational, leadership, and communication skills. The ideal candidate will have 3-5 years of experience in compliance within financial services, specifically in banking or fintech. Responsibilities include ensuring compliance, developing risk management programs, and training staff. This is a full-time position offering a chance to influence compliance strategies within the organization.

Qualifications

  • 3-5 years experience in a compliance role within the Financial Services sector, preferably in Banking, Fintech or Payments.
  • CISA membership would be advantageous.
  • Strong understanding of relevant laws and regulations.

Responsibilities

  • Ensure compliance with the applicable regulatory framework and efficiently run daily compliance activities.
  • Develop, implement and monitor the Risk Management and Compliance program.
  • Communicate key aspects of compliance frameworks and policies to stakeholders.

Skills

Organisational skills
Leadership skills
Detail orientation
Stakeholder Management skills
Problem-solving skills
Communication Skills
Time management
Ability to work under pressure

Education

Legal, Risk or Compliance related degree
Job description

Compliance Manager

Lesaka Technologies Inc.

Division : Cape Town – Platterkloof

Reports To : Enterprise CEO (or Designate)

Primary Objectives

The Compliance Manager (CM) is responsible for driving and overseeing compliance within the Enterprise business to ensure that financial and operational procedures and personal conduct within the business comply with relevant and applicable laws, regulations and contractual agreements.

Embedded within the business, this position involves informing and executing on the compliance strategy as well as taking direct responsibility for the efficient and effective execution of day-to-day operational compliance activities, supporting risk-based decision making and strengthening the control environment.

This is an excellent opportunity for an individual to make their mark within the business whilst supporting Group Compliance to achieve the compliance objectives and partnering with business to proactively identify and manage compliance risks.

Duties and Responsibilities (What you will be doing)
  • Ensure compliance with the applicable regulatory framework, NPS, FICA, POPIA and any other relevant legislation;
  • Develop, roll-out and monitor the implementation of the Risk Management and Compliance (RMCP) program and provide input into the same as part of the enhancement process;
  • Ensure efficient and effective running of the daily compliance operational activities;
  • Assist business to design and implement adequate and effective processes and controls to manage compliance risk;
  • Assist in communicating and driving key aspects of the group compliance frameworks and policies to business stakeholders;
  • Take ownership for the compilation and review of business specific compliance policies and procedures in accordance with the group compliance frameworks and policies;
  • Monitor and execute on the outputs of the compliance dashboards;
  • Review new / existing processes and products to identify and mitigate compliance risk and sign-off on the same;
  • Be proactive and monitor changes to the regulatory landscape and provide the necessary and practical compliance advice and guidance to business partners;
  • Ensure the timely collation and submission of the required reports or returns in accordance with regulatory obligations;
  • Assist in the design, development and delivery of compliance awareness and training interventions to support a strong culture of risk management and good customer outcomes;
  • Ensure timely escalation of material risks or breaches to senior management and group compliance;
  • Effectively manage key internal and external stakeholders within the business and develop good working relationships;

Produce periodic compliance reports for the business to track progress of initiatives and value-add of same; and

Ensure that any outstanding compliance allocated internal audit actions are closed within deadline.

Knowledge and Experience Required (What you'll need to succeed)

Educational Level : Legal, Risk or Compliance related degree or equivalent.

CISA membership would be advantageous.

Specialist Skills required : Organisational skills, Leadership skills, Detail orientation, Stakeholder Management skills, Problem-solving and Communication Skills (written and verbal), Effective time management and multi-tasking skills as well as the ability to work under pressure, Ability to work independently or as a team player.

Knowledge of relevant laws and regulations.

Experience Required : 3–5+ Years experience in a compliance role within the Financial Services sector preferably in Banking, Fintech or Payments, along with managing / leading a Compliance team.

A strong understanding of the relevant regulatory frameworks, including but not limited to FICA and Payments, is essential.

Personal Characteristics (What you'll bring)

Can operate both at a strategic and operational level

Proactive individual who is a self-starter and gets things done

An individual who takes a pragmatic approach to Compliance and is business-minded

Has the ability to work well with people and collaborate to develop practical solutions to compliance related problems

Possesses good stakeholder management ability and can develop relationships across senior and junior management levels

Good written and verbal communication skills

Passionate about compliance

Key Stakeholders

Senior and Executive Management

The business's sponsoring banks

Regulatory / Industry Bodies viz. the FIC, PASA / PIB and other relevant regulators

Seniority Level

Mid-Senior level

Employment Type

Full-time

Job Function

Legal

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