Applications are invited from suitable and qualified candidates for the Position of Regulatory Affairs Manager Loyalty at Stanbic IBTC Bank.
About Standard Bank (Stanbic IBTC)
Standard Bank Group (SBG) is a commercial bank headquartered in Johannesburg, South Africa, established in 1862. It provides a wide range of financial services, including banking, insurance, investment, and advisory services. As Africa’s largest bank, SBG is committed to driving the continent’s growth and development. They aim to meet the diverse needs of individuals and businesses in Africa while maintaining strong investor relations and a focus on excellence in all aspects of their operations.
Summary
- Company: Stanbic IBTC Bank
- Job Title: Manager, Regulatory Affairs
- Job Type: Full-time
- Qualification: BA/BSc/HND
- Location: Abuja, F.C.T, Nigeria
- Deadline: Not Specified
Job Title: Manager, Regulatory Affairs
Job Description
To analyse & identify compliance risks, processes & controls and provide advice to management to effectively manage compliance issues.
Key Responsibilities
- Responsible for regulatory change management and interactions for both internal and external stakeholders.
- Coordinate periodic reviews on regulatory policies and circulars that impact business in line with regulatory change management process
- Ensure regulatory guidelines are embedded with stakeholders and implemented within timelines.
- Initiate and implement strategies in line with Risk and Conduct corporate objective of the Group
- Ensure the implementation of compliance monitoring plans developed through assurance exercises.
- Develop and implement compliance monitoring plan tailored to relevant regulations and extant laws relating to stakeholders based on the risk assessment of the business.
- Ensure that Business is advised timely and document impact analysis of regulatory developments.
See Also:
Qualifications for the Position of Regulatory Affairs Manager Loyalty at Stanbic IBTC Bank
- University Degree in Finance or Accounting
- ACCA, ACAMS or any other Compliance related certification
Experience Required
- 4-5 years’ experience in financial services, knowledge of corporate and transaction products and services, knowledge of foreign exchange regulations and operations.
- Strong business knowledge in terms of applicable business areas.
- Ongoing awareness of regulatory requirements which relate to the Group’s business as well as compliance best practices and trends with the proven ability to influence all levels of employees across multiple countries and business areas to effectively implement compliance frameworks.
Additional Information
Behavioural Competencies:
- Articulating Information
- Challenging Ideas
- Checking Things
- Convincing People
- Generating Ideas
- Interacting with People
- Making Decisions
- Meeting Timescales
- Providing Insights
- Team Working
- Thinking Positively
- Upholding Standards
Technical Competencies:
- Compliance
- Financial Industry Regulatory Framework
- Legal Compliance
- Promote Good Governance, Risk & Control
- Risk Management
- Strategic Planning and Reporting
Deadline
Not Specified
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