Internal Audit & Compliance Officer at Credpal

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
3 years ago

Additional Details

Job ID
12500
Job Views
103

Job Description



Purpose Statement


We are looking to hire an Internal Audit & Compliance Officer to guarantee that our business processes and transactions follow all relevant legal and internal guidelines. Your duties will include reviewing processes, developing company policies, and responding to policy violations.


The ideal candidate will be professional, highly-analytical, and possess excellent written and verbal communication skills. To prosper in this role, you should be fluent in risk management and our industry’s principles.


Key Deliverables: 




  • To review and create new accounting and financial controls and other compliance processes in place and make any necessary revisions or additions.






  • Coordination of the periodic risk assessment process. 




  • Documentation of financial and operational processes, identification of risks in such processes, walkthrough and testing of controls, etc).




  • Implementation and follow-up of action plan to mitigate risks and address findings from audits and internal testing.




  • Management of business compliance requirements in coordination with concerned departments (especially finance, marketing, and operations) and third parties (Issuing bank, card processor, etc).






  • Design of processes, reports, and alert systems to detect fraud and anomalies and report complaints.




  • Keeping up-to-date with regulations, informing the business of changes when relevant, and responding accordingly.






  • Collaboration with all departments to develop new processes for products and services




  • Participation in new product development to ensure compliant design.




  • Definition and maintenance of segregation of duties in various business areas.




  • Develop, review, and monitor compliance with the Firm’s internal processes and procedures with regards to finance and other areas of operations including use of office assets, IT infrastructure, and compliance with regulatory standards.




  •  Investigate and report violations of processes and procedures and regulatory standards across the operations of the Firm including but not limited to finance with effective action plans in response to discoveries and compliance violations. 




  • Report and advise Management on the Firm’s compliance level and potential risk areas with an action plan to mitigate the same.




Preferred Qualification:




  • Bachelor’s degree in, finance, or a related field.




  • 3 – 5 years’ proven experience in internal control roles in the Financial Services Industry.




  • Related professional certifications.




  • Knowledge of Data Protection legal requirements and other Financial Services related Laws.




Preferred Requirements:




  • Good knowledge of legal requirements and procedures.




  • Brilliant oral and written communication skills.




  • Highly analytical with strong attention to detail.




  • Excellent listening, verbal, and written communication skills.




  • Well organized, persevering, and demanding.




  • Creative and flexible, with the ability to understand business constraints and requirements.




  • Ability to manage transversal teams indirectly.




Similar Jobs

Cookies

This website uses cookies to ensure you get the best experience on our website. Cookie Policy

Accept