Job Description
Our Client, a prominent brand name in the Financial Services Industry; is seeking to employ a highly experienced Head of Administration & Compliance – Financial Services (long-term insurance and investment) to their team based in Port Elizabeth.
RE5 Qualification is essential.
Candidates must be able to work under pressure, manage time-lines, and have experience dealing with high net worth individuals.
This is an awesome career opportunity for an experienced and business minded candidate.
Requirements:
- A minimum of 10 years experience in financial services administration is essential, along with deep knowledge of long-term insurance, investments, retirement products, and regulatory requirements.
- RE5 Qualification.
- Relevant industry qualification such as NQF Level 5 or higher in Financial Planning, Wealth Management, Insurance, or related field.
- Previous supervisory experience preferred.
- Strong knowledge of long-term insurance products and processes.
- Excellent understanding of FAIS, FICA, POPIA, and FSCA frameworks.
- Advanced administrative and organisational skills.
- Strong leadership and people-management abilities.
- Ability to manage pressure, deadlines, and high-volume work.
- Excellent written and verbal communication skills.
- High attention to detail and accuracy.
- Proficiency in CRM systems, provider portals, and Microsoft Office.
Responsibilities, but not limited to:
- Oversee day-to-day administration of long-term insurance products, including life cover, investments, retirement annuities, preservation funds, living annuities, life, disability, and dread disease benefits.
- Ensure accurate and timely submission of new business, servicing requests, and claims.
- Manage escalations with providers and resolve complex administrative issues.
- Create, implement, and monitor internal processes and SOPs for efficiency and compliance.
- Maintain strong relationships with product providers, underwriters, and service consultants.
- Ensure administrative processes comply with FSCA, FAIS, POPIA, FICA, and internal compliance frameworks.
- Maintain proper record-keeping, data integrity, and document management systems.
- Monitor that all KYC, FICA, client onboarding, and review processes meet regulatory standards.
- Assist with compliance audits and ensure all governance requirements are met.
- Oversee accurate and up-to-date KYC and FICA compliance for all clients.
- Lead, mentor, and supervise the administration team.
- Allocate workloads and monitor output to ensure deadlines are met.
- Provide ongoing training on products, systems, compliance, and administrative processes.
- Ensure high-quality communication with clients and advisors.
- Oversee preparation of client files, onboarding packs, review packs, and compliance documentation.
- Handle high-level client service issues and ensure effective resolution.
- Support advisors with accurate information, updates, and administrative assistance.
- Manage CRM systems and ensure accurate data capturing and workflow management.
- Implement process improvements to enhance service delivery and operational efficiency.
- Ensure all service level agreements are met.
- Maintain knowledge of new products, regulatory changes, and industry developments.
- Contribute to strategic planning regarding operations and administrative capacity.
Please note that should you not receive a response within 2 weeks of applying, you may consider your application unsuccessful.
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