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Risk & Compliance Officer Job Sumac Microfinance Bank
Banking Jobs. Sumac Microfinance Bank Jobs
About the Role
The job holder will be responsible for ensuring that the Bank’s overall Risk & Compliance framework, specifically under internal processes and procedures, regulatory, statutory, KYC & AML guidelines, is acceptable and there is full compliance to the same within the bank. To also carry out risk assessments and advice on areas of improvement.
Key Responsibilities:
- Conduct Risk assessments on all bank projects, units, products, and processes as per the risk management policies and procedures.
- Conduct reviews on all bank activities, processes, and units to ensure compliance with internal policies and procedures, regulations, and all relevant laws.
- Conduct daily transactions monitoring, compile, and report to relevant regulators on any over the limit and/or suspicious transactions.
- Conduct internal Risk management, AML, and KYC trainings to promote compliance awareness and improve the risk culture in the bank.
- Represent the risk and compliance function at various management meetings as and when requested and advise on risk issues.
- Take part in preparation of Risk and Compliance reports
- Maintain detailed knowledge of current AML/CFT/CPF regulations and keep track of developments within the AML/CFT/CPF scope, sanctions, terrorist financing issues, including policies, procedures, regulations, industry best practice, criminal typologies and developing trends and advise accordingly
- Maintain strong working relationship with internal and external stakeholders to ensure that compliance issues are regularly discussed and addressed.
- Acts as the AMLRO Officer for the Bancassurance Intermediary
- Monitor and track closure of management actions from the compliance reviews, regulators and external audit reports
- Proactively identify gas in the assigned reviews, assessments, projects and follow up on implementation of agreed mitigation controls
- Perform any other duties as assigned in line with the organizational goals and objectives
Qualifications
- University degree in a business-related field or its equivalent.
- At least 4 years’ experience in Risk & Compliance within Banking or a regulated financial services sector
- Professional risk management qualifications is desirable.
- A Certified Anti-Money Laundering Specialist qualification will be an added advantage
- Knowledge of money laundering techniques and regulations
- Knowledge of regulatory compliance requirements and risk management principles
- Demonstrable analytical skills
- Good organization and planning skills
- Good knowledge of Banking operations
- Results oriented, effective communicator and a team player
- Proficiency in computer applications
How to Apply
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