- Conduct regular audits of individual and team performance, providing structured feedback to ensure adherence to policies and best practices.
- Identify gaps or inefficiencies in compliance processes and recommend practical enhancements.
- Develop, update, and maintain compliance records, policies, and process documentation to ensure clarity and consistency.
- Monitor compliance with industry regulations and internal policies, identifying risks and implementing corrective measures.
- Assess potential compliance breaches, investigate root causes, and track resolutions effectively.
- Experience in compliance auditing and providing feedback within financial services.
- Strong ability to drive process improvements and ensure compliance best practices.
- Excellent documentation skills, with experience in process mapping and compliance record-keeping.
- Â Analytical mindset with a high level of attention to detail.
- Strong knowledge of financial services regulations, risk assessment, and policy enforcement.