The Specialist, Compliance Risk Integration is a critical role within the Standard Bank Group, tasked with the imperative responsibility of designing and implementing a comprehensive compliance risk framework across all Client Segments, Solutions, Corporate Functions, and African Regions. This position is pivotal in safeguarding the bank's operations and reputation.
Key responsibilities include:
Develop and execute a robust strategy for integrating Compliance Risk across all facets of the Standard Bank Group.
Conduct thorough assessments of compliance risks, ensuring a comprehensive view of potential vulnerabilities across the entire organisation.
Engage with and influence senior executives to ensure strict adherence to compliance standards in all operational activities.
Implement rigorous measures to mitigate operational losses, fines, penalties, and reputational damage arising from compliance breaches.
Establish and maintain a culture of compliance excellence, positioning it as a competitive advantage for the organisation.
Provide expert guidance on complex compliance matters, interpreting regulatory requirements and their implications for the bank's operations.
Develop and oversee the implementation of compliance policies, procedures, and controls that align with both local and international regulatory standards.
Lead initiatives to enhance compliance monitoring and reporting systems, ensuring timely detection and resolution of potential compliance issues.
Collaborate with internal audit and risk management teams to ensure a cohesive approach to risk mitigation across the organisation.
Stay abreast of evolving regulatory landscapes and emerging compliance risks, proactively adapting the bank's compliance framework to meet new challenges.
This role demands a high level of expertise, attention to detail, and unwavering commitment to maintaining the highest standards of compliance within the financial services sector.
Qualifications
Essential Qualifications:
First Degree in Audit, Business Commerce, or Legal studies from a recognised institution
Professional Experience:
Minimum of 8-10 years of extensive experience in Compliance within the financial services sector
Demonstrated expertise in regulatory requirements and upcoming developments applicable to specific business areas
Comprehensive understanding of banking products and activities
Critical Competencies:
Profound knowledge of regulatory frameworks and reporting obligations within the financial services industry
Proven ability to provide strategic compliance support across multiple disciplines
Exceptional skills in driving effective risk integration initiatives
Additional Requirements:
Demonstrated capacity to interpret complex regulatory requirements and their implications for banking operations
Strong analytical skills with the ability to conduct thorough compliance risk assessments
Excellent communication and influencing skills, particularly when engaging with senior executives
Proven track record in developing and implementing compliance policies, procedures, and controls
Ability to stay abreast of evolving regulatory landscapes and proactively adapt compliance frameworks
The successful candidate must possess an unwavering commitment to maintaining the highest standards of compliance and integrity within the financial services sector. This role demands a high level of expertise, meticulous attention to detail, and the ability to navigate complex regulatory environments with precision and authority.
Additional Information
Behavioural Competencies:
Adopting Practical Approaches
Challenging Ideas
Convincing People
Embracing Change
Empowering Individuals
Establishing Rapport
Examining Information
Interacting with People
Making Decisions
Providing Insights
Taking Action
Upholding Standards
Technical Competencies:
Business Acumen (Audit)
Financial Acumen
Process Governance
Procurement Knowledge
Project Management (Project Mgmt)
Promote Good Governance, Risk & Control
Please note:
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