This Position is Closed

Regulatory Compliance Monitoring Officer

Sorry, this position is no longer available. The job posting has expired and we are not accepting new applications at this time.

Looking for other opportunities? Check out our current job openings to find your next career opportunity.

Job Details

Requirements:

  • Grade 12 / Matric 
  • Relevant degree (law, finance, or compliance) (required) 
  • Minimum of 3 years’ compliance monitoring experience in a risk or compliance role in a category I and 
    II financial services provider environment.
  • Computer literate and must be proficient in MS Office (required)  
  • Post graduate compliance or risk management qualification (advantageous)  
  • CISA CPrac or CProf Designation (advantageous) 
  • Knowledge of advice monitoring, compliance frameworks, and investment mandate oversight.
  • Knowledge of discretionary investment processes and TAA monitoring. 
  • Knowledge of CAT II investment management, including 80/20 variance monitoring and mandate 
    validation. 
  • Knowledge of the requirements, implementation, application and monitoring of FAIS, FICA and 
    Collective Investment Schemes Control Act. 
  • Knowledge and understanding of legal principles and ability to interpret legislation. 
  • Knowledge and understanding of compliance risk management principles. 
  • Experience with managing audit findings.
Responsibilities, but not limited to:
  • Conduct ongoing monitoring of advice and discretionary investment services to assess compliance 
    with FAIS, internal policies, and client mandates. 
  • Review CAT II investment activities to confirm mandate alignment, investment limits, and appropriate 
    governance. 
  • Monitor compliance with agreed investment strategies (including mandate thresholds and variance 
    reports). 
  • Ensure advice and investment practices reflect Treating Customers Fairly (TCF) outcomes. 
  • Analyse advice monitoring results and escalate areas of concern. 
  • Identify, investigate, and document potential compliance breaches or irregularities. 
  • Support the development and maintenance of a regulatory compliance monitoring plan aligned to 
    group frameworks. 
  • Provide guidance to Financial Planning Partners, Business Development Managers, Para-planners, 
    and Operations Managers on compliance and advice quality requirements. 
  • Participate in relevant compliance and advice risk committees. 
  • Maintain compliance records, reports, and procedural documents. 
  • Assist in preparing reports for Key Individuals, governance forums, and regulatory reviews.
Please note that should you not receive a response within 2 weeks of applying, you may consider your application unsuccessful.
About the Company
Wakanda Jobs - Find All Jobs

New Things Will Always
Update Regularly

Wakanda Jobs - Find All Jobs
Your experience on this site will be improved by allowing cookies Cookie Policy