Job Description
Job Description
- To drive the framework, oversight and monitoring of the control environment for all operations within the company, working in partnership with the Group Control team to mitigate risk in transactions and the underlying processes across the three Wealth entities.
Qualifications
- First Degree in Business, Accounting, Banking or Finance-related field
- Professional Accounting or Internal Control Qualification will be an added advantage.
Experience:
- Minimum of three years experience of having worked in a Control or Risk function.
- Detailed product knowledge in a number of different offerings supported by a deep understanding of the processes that support the transaction lifecycle of the Wealth products
- Minimum of three years experience in with internal audit or assurance in a financial organization.
Behavioural Competencies:
- Establishing Rapport
- Tackling Business Challenges
- Interpreting Data
- Articulating Information
- Checking Details.
Technical Competencies:
- System Knowledge
- Report Writing
- Analytical Skills
- Credit Risk Management
- Risk Mitigation Initiatives.