- Diploma: Finance and Accounting
- The role requires at least 5 years of experience in the securities industry with thorough working knowledge of risk management and compliance, securities industry regulations, end to end processes and understanding of trade of payment processes
- Provide input to the design of the investment division control framework and support the business in the establishment and maintenance of a robust controls' environment.
- Manage processes relating to breaches, incidents and complaints, review reports, inform relevant parties (3rd parties, Group Risk and Compliance) and follow up on outstanding reports and actions updates.
- Undertake ad-hoc investigations into breaches, incidents and complaints to identify the causes and ensure that processes are sufficiently robust to prevent any further occurrences. Undertake periodic client suitability reviews, Investment mandate monitoring and testing of investment division controls; investigate and report on variances to ensure compliance.
- Ensure accuracy and confidentiality of investment data. Maintain the central policies and procedures manual, and facilitate periodic review of teams' procedures, draft and review policies and procedures, and advise on procedural control improvements. Undertake periodic assessment of and mapping of investment division processes, policies and procedures to regulatory requirements and group policies.
- Prepare reports, collate papers, collate Key Risk Indicators, analyse risk data and provide insights for the lnvestment Services and Risk meetings to ensure that identified risk are managed in a timely manner.
- Business Acumen (Audit)
- Business Administration Skills
- Compliance
- Risk Management
- Risk Reporting
- Written Communication
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Officer, Investment Risk - Saint-Helier, United Kingdom - Standard Bank Group
1 week ago
Description
Job DescriptionTo maintain risk and compliance oversight mechanisms within the Investment Division to ensure that the business operates in accordance with agreed risk parameters and in compliance with regulatory requirements of the Investment Business and Funds Services Business licences, by supporting the identification, analysis and management of risk arising from the investment operations, maintaining a coherent governance structure for division and undertaking routine risk responsibilities.
QualificationsMinimum Qualifications
Experience Required- Investment Management
Outputs:
Technical Competencies: