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Gauteng: Business Enablement: Monitoring Officer posted by Headhunters

Salary0
Posted9 Jul 2026
Requirements:

  • Grade 12 / Matric 
  • Relevant degree (law, finance, or compliance) (required) 
  • Minimum of 3 years’ compliance monitoring experience in a risk or compliance role in a category I and 
    II financial services provider environment.
  • Computer literate and must be proficient in MS Office (required)  
  • Post graduate compliance or risk management qualification (advantageous)  
  • CISA CPrac or CProf Designation (advantageous) 
  • Knowledge of advice monitoring, compliance frameworks, and investment mandate oversight.
  • Knowledge of discretionary investment processes and TAA monitoring. 
  • Knowledge of CAT II investment management, including 80/20 variance monitoring and mandate 
    validation. 
  • Knowledge of the requirements, implementation, application and monitoring of FAIS, FICA and 
    Collective Investment Schemes Control Act. 
  • Knowledge and understanding of legal principles and ability to interpret legislation. 
  • Knowledge and understanding of compliance risk management principles. 
  • Experience with managing audit findings.

Responsibilities, but not limited to:

  • Conduct ongoing monitoring of advice and discretionary investment services to assess compliance 
    with FAIS, internal policies, and client mandates. 
  • Review CAT II investment activities to confirm mandate alignment, investment limits, and appropriate 
    governance. 
  • Monitor compliance with agreed investment strategies (including mandate thresholds and variance 
    reports). 
  • Ensure advice and investment practices reflect Treating Customers Fairly (TCF) outcomes. 
  • Analyse advice monitoring results and escalate areas of concern. 
  • Identify, investigate, and document potential compliance breaches or irregularities. 
  • Support the development and maintenance of a regulatory compliance monitoring plan aligned to 
    group frameworks. 
  • Provide guidance to Financial Planning Partners, Business Development Managers, Para-planners, 
    and Operations Managers on compliance and advice quality requirements. 
  • Participate in relevant compliance and advice risk committees. 
  • Maintain compliance records, reports, and procedural documents. 
  • Assist in preparing reports for Key Individuals, governance forums, and regulatory reviews.
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Please note that should you not receive a response within 2 weeks of applying, you may consider your application unsuccessful.

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