Sr. Regulatory Compliance Administrator II
Listed on 2026-01-23
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Finance & Banking
Financial Compliance, Regulatory Compliance Specialist, Risk Manager/Analyst
Overview
THE ROLE PURPOSE
:
To provide independent regulatory compliance oversight and assurance of the risk and regulatory control environment within the South Africa geo, through audits / assurance reviews and risk assessment for Concentrix and client regulatory and contractual requirements.
Key responsibilities include providing controls and checks to evidencing adherence to key regulatory manuals and frameworks agreed across the account, maintaining oversight to demonstrate compliance with regulatory and contractual requirements, identifying risks and issues impacting the customer, operation or regulatory environment, providing recommendations to improve the risk and control environment, evidencing conformance with processes, demonstrating compliance with regulatory, client and Concentrix requirements, identifying fraud/potential fraud to protect Concentrix and its clients, championing the Concentrix Ethics and Compliance Culture, building and maintaining a risk profile, and working closely with clients and internal colleagues to address risk and compliance matters.
Risk Assessment and Controls
:
Facilitate cross site/cross Line of Business consistency of regulatory processes, such as Consumer Duty and Treating Customers Fairly (TCF). Own risk assessment and risk profile (where applicable) of multiple campaigns, reporting outputs to internal stakeholders and where appropriate client stakeholders. Actively support the change management process to ensure all relevant risks and compliance matters are highlighted through the impact assessment on all Change Requests.
Carry out risk-based process audits and prepare clear reports.
Compliance, Governance & Reporting
:
Assist the operation in identifying actions to close out audit findings and track completion. Risk reporting to be consistent, clear, accurately represented and communicated in a timely manner to the appropriate audience. Be the interface for other Concentrix business audits, client audits and third party audits. Ensure all client, regulatory and statutory trainings are taken on time, tracked and flag associated risks and issues.
Champion the culture of Ethical Business and Compliance. Work with a broad range of internal teams to ensure internal processes meet client and regulatory requirements. Collect and collate data on a regular basis to ensure reporting standards and requirements are met. Maintain control of Compliance logging/schedules for own remit. Ensure all new policies have internal and external Compliance sign-off. Highlight any concerns around fraud and drive fraud prevention activities on the Delivery floor.
Be the Regulatory Compliance Team representation in South Africa at client-facing site or virtual meetings (new and existing Clients) and chair Client partnership Compliance meetings when required.
- Approachable/strong interpersonal skills and the ability to communicate at all levels, face to face or using remote tools
- Professional & Confident in Risk and Compliance matters – Must have an established knowledge and experience of the UK Financial Services Regulator (The Financial Conduct Authority)
- Confident using Microsoft tools
- Can work independently to solve a range of complex problems
- Strong investigative, planning and organizational skills
- Can break down complex topics into understandable, easy to digest information
- Track record of working to deadlines
- Confident working remotely and as part of a team, taking on leadership attributes when required.
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