Job Description
Key Responsibilities
- Ensure all filings are prepared and filed appropriately as at when due to prevent fines and sanctions.
- Monitoring and review of all payments and transactions emanating from the Company and to ensure source documents are provided.
- Resolving client complaints in line with Compliant Management Framework
- Review of existing Client records, proper documentation review of new clients and verification of legal documents
- Periodic review and update of all internal processes across all departments to ensure they are in line with the approved Standard operational Procedure.
- Preparation and presentation of Quarterly Risk & Compliance reports to the Board and Management.
- Advising the Board and Management on Compliance & Risk matters and liaising with the Company Secretary on legal matters
- Authorization, review, approval, booking & liquidation of investments based on agreed rates and consent from Clients
Requirements
- A First Degree in Accounting or Economics
- A Minimum of four (4) years in the Capital Market (preferably Fund Management & Investment Banking)
- Compliance & AML Certifications will be an added advantage
- SEC sponsored Individual is preferred
- Excellent leadership and management skills with a track record of implementing compliance programs across large organizations.
- Strong analytical, problem-solving, and organizational abilities.
Method of Application
Interested and qualified? Go to Alan & Grant on alanandgrant.zohorecruit.com to apply
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