Managing of training schedule for teams and coordination of same
Policy availability to all after review and approval
Development of annual Compliance Plan
Product paper review
Development of Policy Dashboard
Update of the regulatory report Dashboard
Coordinating the review of the Compliance SOP and Handbook
Transaction Monitoring and Reporting
Minimize the incidence of Audit exceptions from review of Compliance Department’s activities.
Maintains zero tolerance for non-compliance with laws, industry guidelines, codes of conducts and rules and regulations that are applicable to the Money Market Operators in order to minimize the incidence of fines and penalties from regulatory infractions.
Requirements
B.Sc / BA in Law, Finance, Business Administration or a related field
Professional certification is a plus
2 - 3 years proven experience as a Compliance Officer or Compliance Manager
Experience in risk management
Knowledge of legal requirements and controls (e.g., Anti-Money Laundering, or AML)
Familiarity with industry practices and professional standards