Job Description
Regulatory ComplianceJob PurposeTo assist with the identification, management and reporting of compliance risk and incidents, specific to Investment Banking. This will require an in-depth understanding of the investment banking business as well as requiring the coordination; facilitation and management of compliance risks and incidents through developing networks with business and other key stakeholders as well as providing advice so as to minimise regulatory; reputational and compliance risk and endeavour to avert potential litigations/ penalties arising from compliance breaches.Job ResponsibilitiesPossess a detailed understanding on the investment banking business (lending, private equity, corporate finance, debt capital markets, equity capital markets, JSE sponsor etc) so as to provide compliance research and advice on investment banking business so as to not only mitigate and manage compliance risk but to also identify opportunities that may arise from new legislation or changes to existing legislation.Assist managers within the Business Unit to monitor and report on compliance risks by providing guidance or offering expert investment banking compliance advice together with the provision of compliance training.Contribute to a culture of transformation by participating in Nedbank culture building initiatives, business strategy, and CSI.Participate in developing, implementing and addressing issues raised in culture surveys to improve results.Ensure adherence to the Group’s compliance methodology and framework and develop and foster relationships with colleagues in Group Compliance.Manage market abuse and market conduct risks that may arise within the investment banking business unit.Keep abreast of all regulatory and industry changes with would include future proofing Compliance (ie digitisation initiatives). .
Responsibilities + Skills
Education
Post Graduate Diploma: Compliance
Experience
3 - 5 years Investment Banking experience either in an operational role or within the business.2 3 years experience within a Compliance, Legal or Risk team within a financial services business.