Advise and adopt a risk-based approach to ensure that material compliance risks imposed on the group are addressed and properly mitigated.
This function will be accountable to the Groups Board, through the Group Risk Committee.
Experience And Qualifications
- Law Degree at a postgraduate level
- Post graduate Diploma in Compliance
- Registered as a Compliance Officer under the FAIS Act for Category I FSPs with the FSCA.
- Admitted attorney of the High Court. (preferably)
- Extensive knowledge of legislation, regulations and legal principles applicable to the financial services industry, in particular the insurance sector (non-life).
- At least 5-8 years of experience in financial services industry, in particular the insurance sector (non-life).
- At least 6-8 years of experience in compliance.
- Good knowledge of the Protection of Personal Information Act and its requirements
- 5 - 8 years management experience at management level.
- Regulatory Framework
- Compliance and Risk Management
- Industry Governance codes
- 5 to 10 years
- Degree