We are looking for a Compliance Officer to join our growing team in South Africa.In this role, you will be responsible for ensuring compliance with the regulatory frameworks of the FSCA, FAIS, and FMA, supporting the licensing process and maintaining compliance standards for our local operations. You will collaborate closely with internal teams and regulatory bodies, offering both strategic and hands-on support to navigate the South African financial services landscape.
At our company, you'll be working in a fast-paced environment with a team of professionals who value adaptability, integrity, and initiative. You'll also have the opportunity to influence internal policies, contribute to license acquisition, and shape a compliant and ethical business environment from the ground up.
If you have deep knowledge of the South African regulatory environment, experience in licensed brokerages, and a flexible, proactive approach to compliance -- this role is for you.
Explore opportunities at JustMarkets and become a part of our growing international team!
Responsibilities
Ensure ongoing compliance with FSCA, FAIS, and FMA regulations
Support the company through the license application and approval processes
Maintain and update internal compliance policies, procedures, and manuals
Monitor regulatory changes and provide strategic recommendations to internal stakeholders
Prepare and submit compliance reports and regulatory filings on time
Conduct internal compliance audits and risk assessments
Serve as the key liaison with South African regulators and other external stakeholders
Train internal teams on compliance obligations and best practices
Assist in setting up compliance infrastructure from scratch, including systems and controls
Requirements
Proven experience in a compliance role within a regulated financial institution (FSP, ODP, or similar)
Understanding of brokerage operations and financial instruments
Strong knowledge of the South African financial regulatory framework, especially FSCA, FAIS, and FMA
Experience supporting or leading license application processes
Proactive, independent, and flexible approach to problem-solving
Strong attention to detail and high ethical standards
Excellent communication skills with fluency in English
Will be a plus
Legal or compliance certifications (e.g., RE1, RE3, CISA, CAMS)
Experience working in international or multi-jurisdictional financial firms
Understanding of brokerage operations and financial instruments
Familiarity with compliance automation tools or RegTech platforms
We offer:
15 days of paid vacation per year
10 days of paid sick leave per year
10 paid public holidays
Annual medical allowance
Budget for professional development
Language learning support
* Wellness budget (gym membership, sports equipment, and related expenses)
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