The Specialist Analyst role focuses on ensuring compliance within the retirement funds sector. This position is ideal for someone with strong analytical skills and a background in finance or law, looking to make a significant impact in the industry.
Professional and regulatory-focused
The Financial Sector Conduct Authority (FSCA) is dedicated to overseeing compliance within the retirement funds industry. As a Specialist Analyst, you will play a crucial role in monitoring and ensuring that retirement funds and their administrators adhere to relevant laws and regulations. Your work will involve analyzing financial statements, conducting on-site inspections, and providing recommendations to improve compliance and operational efficiency.
In this role, you will be responsible for a variety of tasks, including: • Monitoring compliance with the Pension Funds Act and other regulations • Analyzing annual financial statements from benefit administrators • Liaising with retirement funds on compliance issues • Supporting team members in regulatory analysis and inspections • Managing complex complaints and providing technical guidance
The ideal candidate will have a Bachelor of Commerce or Law degree and at least five years of relevant experience in the retirement funds sector. Strong analytical skills, effective communication, and the ability to work under pressure are essential. You should be comfortable working with various stakeholders and have a keen eye for detail to identify compliance issues.
This position is well-suited for individuals who are proactive, confident, and possess a strong sense of judgment. If you are passionate about ensuring compliance and protecting consumers in the financial sector, this role offers a rewarding opportunity to make a difference.
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