The role is a technical position responsible for identifying, assessing, monitoring and reporting risks; overseeing compliance with insurance, conduct and retirement-fund legislation; and supporting the implementation of strong governance practices across the business. The successful candidate will play a key role in supporting the business in managing regulatory compliance, operational risk, governance, and conduct standards while enabling sustainable business growth and positive customer outcomes.
This role will be closely with business management, operational teams, and second line functions to ensure effective implementation of risk and compliance practices across investment and retirement product operations. This will also include daily operational management, identification and implementation of appropriate interventions as well as provision of technical support across legal, risk and compliance functions within the Sanlam Corporate Investment (SC Invest) business.