Business Segment: Insurance & Asset Management
Location: ZA, GP, Johannesburg, Baker Street 30
To manage and be accountable for the day-to-day, weekly, and monthly regulatory governance, compliance, and non-financial risk activities by ensuring that the business is fully compliant with all applicable compliance and regulatory legislation and that the business operates within the Standard Bank Group's Non-Financial Risk framework, supporting the Key Individuals, Chief Operating Officer, Business Compliance Officer (BCO), and Head of Operations in the execution of their regulatory duties.
Qualifications
Minimum Qualifications
Type of Qualification: First Degree
Field of Study: Business Commerce, Risk Management
Experience Required: 8-10 years in Compliance Risk Management, driving compliance and risk management within an investment, banking/insurance, and/or asset management institution, understanding global legislative and regulatory requirements, focused on continuous improvement, safeguarding the business and its clients.
Additional Information
- Upholding Standards
- Challenging Ideas
- Documenting Facts
- Team Working
- Taking Action
- Following Procedures
- Resolving Conflict
- Adopting Practical Approaches
- Generating Ideas
- Showing Composure
- Fraud Detection and Management
- Information Security Management
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