- LocationCape Town, South Africa
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IndustryBanking & Financial Services
This specific function will ensure that compliance risks such as regulatory, ethical, and internal/external policy obligations are appropriately monitored and addressed by management.
This is a group function and is a critical role within the business and the team.
Your major 3 accountability responsibilities would include compliance and risk management; monitoring compliance and reporting, and providing appropriate input into compliance projects where required.
The qualification and experience we are looking for would be an LLB or similar; Registered as a compliance offer under the FAIS act; Be an admitted attorney of the high court; 10 years experience in the financial services industry, specific to insurance; 10 years experience in compliance of which 5 years minimum in a management capacity; POPIA law and requirements knowledge.
For more information on the role and the business, do not hesitate to contact us.
