Compliance and Risk Consultant | Cape Town
- Regulatory Monitoring: Responsible for Compliance Monitoring across key legislation including FAIS, PPRS, POPIA, FICA, LTIA, and the Insurance Act.
- Legislative Strategy: Ensure the firm stays informed of the latest legislative developments , update policies and procedures in line with legislation , and provide legal advice and opinions to management.
- Advisory & Review: Review internal contracts , assist with regulatory reviews and inspections , and advise management on compliance issues related to new business, claims, products, and marketing.
- Risk Mitigation: Review and assess inherent risks within new processes and systems, and review existing processes to identify risk exposures, recommending appropriate mitigation measures.
- CRMPs & Planning: Develop Compliance Risk Management Plans (CRMPs) and participate in the preparation of plans and strategies for the effective assessment and management of risks.
- Incident Management: Record and analyse all incidents of risk reported from operational areas, recommending appropriate control measures.
- Technical Support: Provide technical support to the underwriting, claims, and reinsurance departments in the assessment and management of risks.
- Oversight: Maintain a strong compliance focus on the firm's clients by ensuring sufficient oversight in relation to Binder holders, JR's, and outsourced partners.
- Monitoring: Oversee and monitor compliance with broker and binder agreements.
- 3–5 years' experience within the financial services industry.
- Experience in risk management, audit, or underwriting.
- Ability to work under minimum supervision.
- Bachelor's degree LLB.
- Possession of relevant Risk Management Certification.