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Compliance Specialist

Fempower Personnel

Centurion

On-site

ZAR 200 000 - 300 000

Full time

Today
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Job summary

A compliance specialist firm in Centurion seeks a Compliance Officer to support compliance functions and ensure adherence to regulatory standards. The role requires a Bachelor's degree in Finance or Law, along with 3 years of experience in the financial services industry and compliance management. Responsibilities include submitting regulatory returns, reviewing internal policies, and developing compliance training. This position fosters a compliance culture across the organization while engaging with multiple stakeholders.

Qualifications

  • 3 years Financial Services Industry experience.
  • 3 years Compliance Management experience within financial services.

Responsibilities

  • Support the Compliance Officer in meeting regulatory requirements.
  • Ensure timely submission of regulatory returns.
  • Review and communicate compliance policies and procedures.
  • Populate Compliance Risk Management Plans for applicable legislation.
  • Identify new regulatory requirements and create awareness among business units.

Skills

Knowledge of financial services industry
Management of the Compliance Risk Management Plans
Compliance Management Principles and Processes
Knowledge of life and non-life legislative framework
Knowledge of Business Principles

Education

Bachelors Degree in Finance or Law
Job description
MAIN PURPOSE OF THE JOB

To support the Complaince Officer and the Head of the Compliance Control Function in ensuring that LBIC and LBLIC (LBI) complies with all relevant statutory, regulatory and supervisory requirements which relate to the Insurance, Operational Standards as well as policies and procedures.

Key Performance Areas
  1. Completion and submission of regulatory returns
  • Identify all applicable returns
  • Compile a checklist for all regulatory returns with due dates
  • Produce a monthly compliance checklist
  • Co‑ordinate and collate all the returns timeously from various stakeholders
  • Submit statutory returns on or before due date
  1. Review and Monitoring of internal policies and procedures
  • Identification of all LBI applicable policies and procedures
  • Review all applicable policies and procedures and ensure that issues of non‑compliance are communicated to the affected areas
  • Ensuring that areas of non‑compliance are tracked until resolution
  • Evaluate proposals and review against compliance criteria
  • Compile and provide compliance related advice to management in respect of existing and new business
  • Communicate the regulatory universe and risk profile to relevant stakeholders
  • Communicate the implications of the regulatory to senior management
  • Develop, review, coordinate and facilitate approval protocol and implement policies and procedures within area of responsibility
  • Facilitate the development, review, approval and implementation of appropriate internal organisational policies, procedures and controls in line with business requirements and regulatory requirements in order to strengthen corporate governance
  • Engage with business stakeholders to understand business requirements and identify the need for business policies and procedures in support of business processes
  • Foster and maintain compliance culture through regular appropriate communication on policies
  1. Population of Compliance Risk Management Plans for the full LBI Regulatory Universe
  • dentification of all legislation applicable to LBI
  • Populating Compliance Risk Management Plans for each applicable legislation
  • Ensuring that each provison is risk rated and controls are identified and recorded accordingly
  • Ensuring that each action plan on the CRMP is tracked until resolution
  1. Identification of new and upcoming regulatory requirements
  • Identification of all new and upcoming regulatory requirements applicable to LBI
  • Creating awareness to the LBI Business Units on all new and upcoming regulatory requirement
  • Creating awareness to the LBI Business Units on all new and upcoming regulatory
  • Represent the the organization on governance compliance related matters and various forums.
  • Participate in industry body to ensure alignment of compliance methodology and influence national trends in compliance risk management.
  • Identification of all new and upcoming regulatory requirements applicable to LBI
  • Creating awareness to the LBI Business Units on all new and upcoming regulatory requirement
  1. Regulatory Training for LBI employees
  • Identify all applicable regulatory training
  • Draft and present a training plan to the Head of the Compliance Control Function
  • Ensure that staff regulatory training is scheduled as per the training plan
Preferred Minimum Education and Experience
  • Bachelors Degree in Finance or Law
  • 3 years Financial Services Industry
  • 3 years Compliance Management experience within financial services
Critical Competencies
  • Knowledge of financial services industry
  • Knowledge of life and non‑life legislative framework
  • Compliance Management Principles and Processes
  • Management of the Compliance Risk Management Plans
  • Knowledge of Business Principles
  • Knowledge and interpretation skills of all applicable legislation to the Insurance business and ability to communicate these at all levels.
  • Additional Requirements
  • Travel as and when required

Extended hours as and when required

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