is taken for identified non-compliance
Entrenching a strong culture in the firm that is about more than pure compliance, but also about promoting a message that
everyone has a role to play
in protecting the firm against risk.
The team is responsible for the "Relevant Ethical Requirements (including Independence)" and "Acceptance and Continuance of Client Relationships and Specific Engagements" components of ISQM1.
The Compliance Practitioner role will report into the Senior Manager: Independence, Conflicts and Ethics within the broader Compliance team, and will be responsible for designing, implementing and monitoring effective and efficient processes to ensure compliance with policies relating to the above components.
Main Duties and Responsibilities
Non-Assurance Services (NAS) Process:
Monitoring and review of NAS to Public Interest Entities. Includes drafting of concurrence letters and meticulous maintenance of NAS tracker and register.
Participate in current automation initiative.
Monitoring and Maintaining Firm Entity Management System:
Maintain firm's prohibited entity list.
Efficient facilitation of quarterly public interest entity validations.
Breach Remediation Assistance:
Drafting breach consultations and assisting with implementation of remediation where it pertains to the Independence, Conflicts and Ethics function.
Communication of remediation actions to other stakeholders and tracking successful implementation.
Training and Communication:
Development of content to create awareness of Independence, Conflicts and Ethics through various information methods, including email communication and webcast training.
Annual Independence Declaration Process:
Assistance with annual independence declaration process, including roll-out, exception resolution and reporting to leadership.
New Joiner Declaration Process and Training:
Presenting training to new joiners on Independence, Conflicts and Ethics.
Assistance with new joiner declaration process, including roll-out, exception resolution and reporting to leadership.
Financial Interest Declaration Process:
Assistance with quarterly financial interest declaration process, including roll-out, exception resolution and reporting to leadership.
Consultations:
Assist with consultations related to firm and personal independence matters.
Internal and External Review Readiness:
Ensure continuous readiness for internal monitoring and external regulatory reviews.
Qualifications, Recognition of Prior Learning, Work Experience, and Knowledge
Qualifications/Recognition of Prior Learning equivalent
A qualification in Compliance, Risk, Finance or Audit
Work Experience
2-3 years of experience in similar risk management, independence and/or compliance roles.
Experience within a professional services/audit firm would be advantageous.
Design and implementation of policies and processes for regulatory compliance and risk mitigation.
Training design and presentation
Project management experience
Business analysis experience relating to technology solutions.
Knowledge
Intermediate Excel, Word and PowerPoint.
Excellent written and spoken English language skills
Competencies: Technical & Behavioural
Technical Competencies
Efficient processing of compliance related tasks.
Progress reporting and Project Management.
Design and review controls to mitigate identified risks.
Attention to detail
Behavioural Competencies
Good interpersonal and organisational skills
Strong spoken and written communication skills
Ability to work independently and collaborate with team members
A proactive approach to continuous improvement
BDO Core Competencies
Relationships and Collaboration
Exceptional Client Service
Engaging people
* Quality, Risk management and Operational performance
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