The Compliance Officer will be responsible for ensuring that the company complies with all Anti-Money Laundering (AML), Counter-Terrorist Financing (CTF), and Financial Intelligence Centre Act (FIC Act) requirements, as well as any related legislation. The role involves implementing and maintaining the Risk Management and Compliance Programme (RMCP) across all branches, monitoring regulatory updates, and managing compliance-related communication with the FIC and other relevant stakeholders.
KEY RESPONSILITIES:
Overseeing Customer Due Diligence (CDD) and Enhanced Due Diligence (EDD) processes
Reviewing high-risk clients
Ensuring the timely submission of FIC reports
Identifying or addressing any compliance gaps.
The role also includes conducting training, ensuring all staff remain informed and compliant, and assisting with internal audits to monitor and improve current compliance practices
MINIMUM REQUIREMENTS
:
Matric
Bachelor's degree in a relevant field like law, finance, or business, professional experience in compliance or risk management, and specific skills such as strong analytical and communication abilities
Computer Literate (Microsoft office)
Valid Driver's License
For more information please contact:
Lidia Meyer
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