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You will be updated with latest job alerts via email5years
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Salary Not Disclosed
1 Vacancy
Guide and advise Business and management on Compliance requirements (POPI FAIS TCF FIC Act FATCA CRS EXCON Regs Conduct Standards).
Updating of Policy & Procedure Manuals due to regulatory and operational changes in terms of key legislation affecting the Bank.
Conduct compliance training as per the compliance training plan. Update training manuals in line with regulatory changes and policy requirements.
Assist in compiling a compliance monitoring plan and reporting against plan.
Assist in compiling an annual Compliance Activity Plan for approval by the BoD.
Assist in reviewing the Legislative Risk Matrix on an annual basis and submit to the BoD.
Conduct compliance monitoring and testing including providing recommendations and actions plans
Develop and update Compliance Risk Management Plans.
Assist in submitting FATCA and CRS reports to the SARS including implementation of new reporting requirements.
Assist in managing and overseeing the REKYC and Enhanced Due Diligence (EDD) processes
Assist in preparing and submitting all required reports to the Group and Audit Committee on a quarterly basis.
Regularly review the Compliance Monitor s functioning quality of commentary and timeliness of clearing including conducting investigations and filing of reports where required.
Assist in providing guidance on new product & delivery channel development.
Assist in filing of regulatory reports to the respective regulators
57 years experience in a compliance and regulatory position in a bank
LLB qualification/or similar and other compliancerelated courses/qualifications
Indepth knowledge of FIC Act POPI FAIS GDPR EXCON Regulations Conduct Standards and other applicable legislation impacting Banks
Education
LLB qualification/or similar and other compliance related courses/qualifications
Full Time