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Markets Compliance Officer

J.P. Morgan

Johannesburg

On-site

ZAR 600,000 - 900,000

Full time

26 days ago

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Job summary

A leading financial services company is seeking a seasoned Markets Compliance Officer in Johannesburg to drive compliance risk management across Sub-Saharan Africa. The role involves providing expertise on regulations, serving as a subject matter expert, and effective collaboration with business and compliance teams. Candidates should have a strong regulatory background and significant experience in compliance.

Qualifications

  • Minimum of 5 years of compliance or related risk management experience.
  • Demonstrated ability to partner with stakeholders on projects.
  • Experience with risk and controls.
  • Detail-oriented with high attention to quality.

Responsibilities

  • Provide comprehensive compliance coverage across multiple areas.
  • Execute core practices: governance, regulatory management, training, monitoring, and testing.
  • Develop compliance risk management plans and conduct analysis for actionable opportunities.

Skills

Regulations & Ethics of South African Markets
Derivatives product module
Bond product module
Strong understanding of Markets Products
Strong written and oral executive-level communication skills
Excellent analytical skills
Detail-oriented

Education

Bachelor's degree with professional certification

Job description

Markets Compliance Officer

Are you ready to take on a pivotal role in compliance within the dynamic financial services sector? As a Markets Compliance Officer, you will have the opportunity to leverage your expertise in compliance risk management and regulatory knowledge to drive impactful change across Sub-Saharan Africa, Israel, and Mauritius.

Job Summary:


As a Compliance Officer in South Africa, reporting to and supporting the Head of Compliance for Sub-Sahara Africa, Israel, and Mauritius based in Johannesburg, you will play a key advisory role in JSE and Over the Counter regulations. We are seeking a seasoned Global Markets Compliance professional who meets the qualification requirements across the JSE markets. You will collaborate effectively with Line of Business (LOB) and global/regional Compliance teams, including Internal Audit, Operational Risk, and other Control functions. This role demands strong expertise in compliance risk management and knowledge of the applicable regulatory landscape in the financial services sector.
In this role, you will provide comprehensive compliance coverage across multiple areas, serving as the team's subject matter expert for specific regulations including the Banks Act, Conduct Standard for Banks, Financial Markets Act, Financial Markets Regulations, Financial Sector Regulations Act, FAIS Act, Financial Intelligence Centre Act, and JSE Rules and Directives. You will execute core practices such as governance and oversight, regulatory management, regulator engagements, policies and procedures, training and awareness, monitoring and testing, issue management, risk assessment and reporting, and risk control self-assessment. Experience in dealing with key regulators is essential, and participation in industry associations and forums will be advantageous.

Job Responsibilities:

  • Provide comprehensive compliance coverage across multiple areas, serving as the team's subject matter expert for specific regulations.
  • Execute core practices: governance and oversight, regulatory management, regulator engagements, policies and procedures, training and awareness, monitoring and testing, issue management, risk assessment and reporting, and risk control self-assessment.
  • Develop compliance risk management plans (CRMPs), maintain regulatory inventories, and process JSE, ODP, and FSP registrations for regulated roles.
  • Conduct analysis to identify major issues and actionable opportunities, design solutions, and quantify financial impact.
  • Develop presentations for management, stakeholders, and regulators to communicate issues, recommendations, and initiative status.
  • Identify potential concerns and control issues, determine root causes, and ensure stakeholders implement corrective actions.
  • Conduct ongoing compliance monitoring activities, participate in special projects, and conduct investigations on suspicious activity and/or market abuse.
  • Challenge the status quo by providing critical thinking and decision-making capabilities to identify problems and propose solutions.
  • Prepare advice and guidance on regulatory and firm policy issues, and alert management on any risk.
  • Participate in industry forums, report regulatory developments to relevant committees, and support strong regulatory relationships.
  • Provide real-time regulatory advice and decisions in high-pressure situations.

Required Qualifications, Capabilities, and Skills:

  • Derivatives product module (SAIFM)
  • Bond product module (SAIFM)
  • Introduction to Financial Markets (SAIFM)
  • Regulations & Ethics of South African Markets (SAIFM)
  • Strong understanding of Markets Products
  • Demonstrated ability to partner with stakeholders on projects.
  • Strong written and oral executive-level communication skills.
  • Experience with risk and controls.
  • Detail-oriented with high attention to detail and quality in work products.
  • Excellent analytical skills.
  • Bachelor's degree with professional certification, with a minimum of 5 years of compliance or related risk management experience.

Preferred Qualifications, Capabilities, and Skills:

  • Experience in dealing with key regulators.
  • Participation in industry associations and forums.
  • Strong expertise in compliance risk management.
  • Knowledge of the applicable regulatory landscape in the financial services sector.
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