Business Compliance Officer

  • Full-time
  • Business Segment: Group Functions

Company Description

Standard Bank Offshore is the offshore arm of the Standard Bank Group, a leading Africa focused financial services group, and an innovative player on the global stage. Our international Banking, Lending, Investment, Fiduciary and Wealth Management services   offers a variety of career-enhancing opportunities – plus the chance to work alongside some of the sector’s most talented, motivated professionals.

Our clients range from individuals to businesses of all sizes, high net worth families and large multinational corporates and institutions. We’re passionate about creating growth in Africa and SBO is perfectly positioned to support the growth of our organisation from our office in the Isle of Man, Jersey, London, Mauritius and South Africa. Bringing true, meaningful value to our clients and the communities we serve and creating a real sense of purpose for you.

Job Description

PLEASE NOTE:

  • This role is not open to relocation.  Only candidates who have residency and right to work in Jersey can be considered.

To enable the execution of Compliance Risk Management processes and activities within a specific business/functional area, to ensure that the area is undertaken in a compliant manner to avoid operational losses, fines, penalties or reputational damage to the organisation and enable the competitive advantage of the organisation.

Qualifications

Minimum Qualification: 

  • First Degree - Audit
  • First Degree - Business Commerce
  • First Degree - Legal
  • Post Graduate Degree - Audit
  • Post Graduate Degree - Legal

Experience Required :

  • 5 - 7 years 
  • The role requires an expert in Compliance with a sound knowledge of the relevant regulatory requirements and upcoming developments applicable to a specific business area as well as a solid understanding of banking products and activities

Key Outputs :

  • Analyse the operational activities within a functional area to identify compliance risks
  • Completes and contributes to compliance reports as required by various governance structures, committees and regulations
  • Customise and maintain generic risk management plans (RMPs)
  • Develop, track and report on the progress of the compliance monitoring plan for a functional area
  • Fulfil the required regulatory role as prescribed by the relevant governing bodies

 

Additional Information

Behavioural Competencies:

  • Articulating Information
  • Convincing People
  • Documenting Facts
  • Empowering Individuals
  • Establishing Rapport
  • Exploring Possibilities
  • Following Procedures
  • Generating Ideas
  • Interacting with People
  • Making Decisions
  • Providing Insights
  • Upholding Standards

Technical Competencies:

  • Evaluation of Internal Controls
  • Financial Acumen
  • Financial Industry Regulatory Framework
  • Legal Compliance
  • Process Governance
  • Risk Awareness
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