The Group Risk & Compliance Analyst will play a focal role within the Group Compliance function. The role exists to support the effective implementation, monitoring, and ongoing operation of the Group’s Risk & Compliance framework across all operating countries. The role holder will be primarily responsible for routine transaction monitoring, control testing, compliance checks, and day-to-day support activities required to ensure adherence to Group policies, procedures, regulatory obligations, and ethical standards across the Group
This role is execution-focused and provides critical support to the Group Risk & Compliance Leads by ensuring consistent application of controls, timely reporting, and effective documentation across the Group.
Responsibilities
- Support the implementation and operation of the Group Enterprise Risk Management framework across operating entities.
- Perform routine risk assessments and control self-assessment activities in line with Group methodology.
- Maintain risk registers, track key risk indicators and monitor progress of risk mitigation plans
- Support periodic risk reporting, including data collation, analysis, and preparation of dashboards and reports.
- Conduct routine transaction monitoring and compliance testing to assess adherence to Group compliance policies, procedures, and regulatory requirements.
- Execute scheduled control testing and monitoring plans, documenting findings clearly and accurately.
- Support regulatory compliance activities, including tracking regulatory obligations and compliance attestations.
- Assist in identifying control gaps, compliance breaches, or process weaknesses and escalate findings appropriately.
- Conduct third-party screening and document due diligence reports
- Maintain compliance logs, issue trackers, and remediation action plans.
- Provide support for audits, regulatory requests and internal reviews.
- Support the implementation and ongoing operation of the Group Code of Conduct, anti-bribery and corruption policy and ethical framework.
- Assist with monitoring ethics-related controls, including conflicts of interest declarations, gifts and hospitality registers, and related disclosures.
- Support the administration of whistleblowing and incident reporting processes.
- Support ethics awareness initiatives and training administration across the Group.
- Support the implementation of the Group Data Privacy and Protection framework across all operating countries.
- Assist with routine privacy compliance checks, including data processing reviews and policy adherence testing.
- Maintain accurate, complete, and up-to-date compliance records, logs, and repositories.
- Prepare routine compliance reports, trackers, and management information for internal stakeholders.
- Coordinate inputs from operating countries and functions for Group-level reporting.
- Support the scheduling, documentation, and follow-up of compliance meetings, reviews, and action items.
- Ensure timely filing, documentation, and version control of compliance policies, procedures, and records.
- Support continuous improvement initiatives within the Group Compliance function.
Qualifications
- University Degree in Finance, Law, Accounting, Risk Management, Business Administration or related discipline
- 2 – 5 years progressive experience in risk management, finance, compliance, audit, legal or control-related roles, preferably in a regulated or multinational environment
- Professional certifications (or progress toward) such as CCEP, CFE, CIA, ACCA, CPA, CISA, CISM etc. are desirable but not mandatory
- Excellent written and verbal communication skills, interpersonal skills with the ability to work in a multi-cultural environment
- High attention to detail and accuracy in execution-oriented work.
- Ability to manage multiple routine tasks and deadlines in a structured manner
Salary: Discuss During Interview
Education: Diploma
Employment Type: Full Time
Contact Information