Sales Compliance Administrator MMH261002-3
Momentum
Role Purpose
To provide administrative support relating to regulatory requirements within the Sales Call Centre environment ensuring Representative fit & proper requirements & obligations are met.
Requirements
- Matric
- FAIS regulatory knowledge
- RE1 advantageous
- 3–5 years’ experience in FSP licensing [for Brokerages], regulatory compliance, or financial services
- Experience dealing with regulatory requirements and licence [RE] applications
- Experience monitoring compliance and maintaining regulatory records
- Good understanding of FSP licensing and FAIS requirements
- Knowledge of regulatory compliance and monitoring processes
- Understanding of licence conditions, regulatory submissions, and record keeping
Duties and Responsibilities
- Monitor fit and proper requirements and CMS accreditation requirements.
- Manage Financial adviser fit and proper competency which includes RE5, accreditation renewals, representative amendments, applicable brokerage registers and related records.
- Manage and update fit and proper and conflict of interest register.
- Track regulatory changes from Compliance team and Implement on the day to day operations.
- Maintain accurate compliance documentation.
- Liaise with internal stakeholders: Compliance & Risk.
- Provide regular licensing and compliance updates to management.
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