Analyst
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I am a Senior Regulatory Compliance Analyst at the FSCA, and I am responsible for regulating and supervising retirement fund benefit administrators through monitoring compliance with the Pension Funds Act, Regulations, Board Notice 24 of 2002, Directives and FSCA’s policy to safeguard the interest of both the members of retirement funds and retirement fund benefit administrators. I was also responsible for the risk-based conduct supervision of financial service providers and accountable institutions in accordance with the financial sector regulatory acts. My specialty is in complex compliance matters with the FAIS Act and technical regulatory matters, the inspection and training facilitation of the latter. supervision of the FAIS Act, FIC Act and ancillary legislation and guidance notes related to these acts.
I have been in the financial services sector for over 6 years and have extensive knowledge in financial services and regulatory compliance. I am very self-motivated and a natural leader who takes pride in the work that I perform. There are always ways that someone will benefit from my actions, and this makes me stand out. What sets me apart is my ability to find common ground with people, as well as my willingness to help others when they need it most.
I am a Senior Regulatory Compliance Analyst at the FSCA, and I am responsible for regulating and supervising retirement fund benefit administrators through monitoring compliance with the Pension Funds Act, Regulations, Board Notice 24 of 2002, Directives and FSCA’s policy to safeguard the interest of both the members of retirement funds and retirement fund benefit administrators. I was also responsible for the risk-based conduct supervision of financial service providers and accountable institutions in accordance with the financial sector regulatory acts. My specialty is in complex compliance matters with the FAIS Act and technical regulatory matters, the inspection and training facilitation of the latter. supervision of the FAIS Act, FIC Act and ancillary legislation and guidance notes related to these acts.
I have been in the financial services sector for over 6 years and have extensive knowledge in financial services and regulatory compliance. I am very self-motivated and a natural leader who takes pride in the work that I perform. There are always ways that someone will benefit from my actions, and this makes me stand out. What sets me apart is my ability to find common ground with people, as well as my willingness to help others when they need it most.