Role Purpose
The Compliance Manager will be mainly responsible for driving the monitoring and oversight programme and for the reporting of the Compliance Results for group licenses and with laws, good governance prescripts, the rules and regulations of regulators, that company policies and procedures are being followed and that there is a compliance culture within the Group.
Requirements
Qualifications
BCom General / Law or LLB.
Compliance Management Certificate from the Compliance Institute or equivalent.
Experience
A minimum of 5 to 7 years insurance compliance experience of which 2 years must have been in a Management Role with insurance compliance as area of specialisation.
Knowledge of legislative framework including Companies Act, Financial Advisory and Intermediary Services Act, Insurance Act, Short-term and/or Long-term insurance regulatory framework and other relevant legislation affecting the company.
Knowledge and understanding of Financial Intelligence Centre Act, Anti Money Laundering legislation and exposure to operational risk will be an advantage.
Knowledge of compliance processes and requirements
Analysis of Bills and new government policy which may impact the organisation.
Duties and Responsibilities
Responsible for the development of a Compliance monitoring programme for the company.
To develop, initiate, maintain and revise policies and procedures for the general operation of the Compliance Function of the Company and its related activities to prevent and mitigate non- compliance with all applicable laws.
Managing of the day-to-day operation of the Compliance Function.
Developing, periodically reviewing, and updating Codes of Conduct to ensure relevance in providing guidance to management in respect of compliance.
Cultivating and managing working relationship with a variety of stakeholders including third parties, Industry Associations, and all areas of the business to direct compliance issues to appropriate existing channels for investigation and resolution.
Consulting with the legal and risk departments as required to resolve complex legal compliance issues.
Responding to alleged contravention of rules, regulations, policies, procedures, and codes of conduct by evaluating or recommending the initiation of investigative procedures.
Developing and overseeing a system for uniform handling of such violations.
Acting as an independent review and evaluation body to ensure that compliance issues/concerns within the organisation are being appropriately evaluated, investigated, and resolved.
Assisting in identifying potential areas of compliance, vulnerability, and risk.
Developing and implementing corrective action plans for resolution of problematic issues.
Providing general guidance on how to avoid, address or prevent recurring breaches in the future.
Ensuring proper reporting of violations or potential violations.
Instituting and maintaining an effective compliance communication and compliance training program for the organisation.
Monitoring the performance of the Compliance Function and relates activities on a continuing basis, taking appropriate steps to improve its effectiveness.
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