Accounting, finance, banking, insurance Jobs for Mid-level in Africa

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Sumac Microfinance Bank

Risk and Compliance Officer

Nairobi

Kenya

Closed for applications
First Bank of Nigeria Limited

Finance Business Partner Lead

Port Harcourt

Nigeria

Closed for applications
SBM Bank

Manager, Internal Audit

Nairobi

Kenya

Closed for applications
National Bank of Kenya

Manager, Credit Policy & Compliance

Nairobi

Kenya

Closed for applications
DFCU Bank

ATM Operations Officer

Kampala

Uganda

Closed for applications
NCBA

Corporate Channels Specialist

Nairobi

Kenya

Closed for applications
APA Life Insurance Limited

Motor Assessor

Nairobi

Kenya

Closed for applications
Pearl Bank Uganda

ALM Analyst

Kampala

Uganda

Closed for applications
HF Group

Finance Business Partner, HFDI

Nairobi

Kenya

Closed for applications

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Sidian Bank

Relationship Manager – Nairobi Region

Nairobi

Kenya

Closed for applications
Sumac Microfinance Bank

Banking + 2 more

Risk and Compliance Officer

Closed for applications
Job details

Contract Type

Description

Qualifications and Technical Competencies

  • University degree in a business-related field or its equivalent.
  • At least 4 years’ experience in Risk & Compliance within Banking or a regulated financial services sector
  • Professional risk management qualifications is desirable.
  • A Certified Anti-Money Laundering Specialist qualification will be an added advantage
  • Knowledge of money laundering techniques and regulations
  • Knowledge of regulatory compliance requirements and risk management principles
  • Demonstrable analytical skills
  • Good organization and planning skills
  • Good knowledge of Banking operations
  • Results oriented, effective communicator and a team player
  • Proficiency in computer applications


Responsibilities
  • Conduct Risk assessments on all bank projects, units, products, and processes as per the risk management policies and procedures.
  • Conduct reviews on all bank activities, processes, and units to ensure compliance with internal policies and procedures, regulations, and all relevant laws.
  • Conduct daily transactions monitoring, compile, and report to relevant regulators on any over the limit and/or suspicious transactions.
  • Conduct internal Risk management, AML, and KYC trainings to promote compliance awareness and improve the risk culture in the bank.
  • Represent the risk and compliance function at various management meetings as and when requested and advise on risk issues.
  • Take part in preparation of Risk and Compliance reports
  • Maintain detailed knowledge of current AML/CFT/CPF regulations and keep track of developments within the AML/CFT/CPF scope, sanctions, terrorist financing issues, including policies, procedures, regulations, industry best practice, criminal typologies and developing trends and advise accordingly
  • Maintain strong working relationship with internal and external stakeholders to ensure that compliance issues are regularly discussed and addressed.
  • Acts as the AMLRO Officer for the Bancassurance Intermediary
  • Monitor and track closure of management actions from the compliance reviews, regulators and external audit reports
  • Proactively identify gas in the assigned reviews, assessments, projects and follow up on implementation of agreed mitigation controls
  • Perform any other duties as assigned in line with the organizational goals and objectives


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