- Job Type Full Time
- Qualification BA/BSc/HND
- Experience 10 years
- Location Lagos
- Job Field Law / Legal 
Compliance Officer at Volition Capital
Compliance Officer
Roles & Responsibilities
Regulatory Compliance:
- Maintain full compliance with all SEC regulations.
- Serve as the primary compliance liaison between Volition Cap and SEC.
- Prepare and submit regulatory filings, reports, and disclosures as required by law.
- Maintain updated knowledge of changes in financial regulations and provide guidance to the organization.
- Manage all organizational access details and 2FAs.
Risk Management:
- Implement and update the organization’s Enterprise Risk Management system
- Manage risk management policies, procedures, and controls.
- Conduct periodic risk assessments and audits.
- Detect and prevent financial crimes, including money laundering and fraud.
- Ensure compliance with Know Your Customer (KYC) and Anti-Money Laundering (AML) regulations.
Internal Audit:
- Conduct quarterly audits in the following areas:
- Client dashboard
- Organizational passwords
- Bank & investment platforms
- Tech tools and platforms
- Folder & file sharing
- Laptops & phones
- Contacts
Policy & Training:
- Draft, review, and update compliance policies and manuals.
- Train employees on regulatory changes, compliance requirements, and best practices.
- Foster a culture of compliance and ethical behaviour within the organization.
Reporting & Documentation:
- Maintain accurate and up-to-date compliance records and documentation.
- Prepare and submit periodic reports to senior management and regulatory bodies.
- Keep copies of compliance-related communications with regulatory authorities.
Stakeholder Management:
- Work closely with legal, risk, operations, and finance teams to ensure compliance with all applicable laws.
- Manage applicable relationships with external auditors, consultants, and regulatory agencies, where needed
- Address compliance-related queries from stakeholders and regulatory bodies.
Experience and Qualifications
- A Degree in Law, Finance, Accounting, or a related field.
- SEC sponsorship and prior experience in a compliance role.
- Minimum of 10 years of experience in regulatory compliance within the financial sector.
- Strong understanding of KYC, AML, and risk management principles.
- Experience working with regulatory bodies, particularly the SEC.
- Proficiency in compliance reporting.
Skill Set and Values:
- Strong knowledge of SEC regulations and financial compliance standards.
- Excellent analytical and problem-solving skills.
- High attention to detail and accuracy in documentation.
- Strong organizational and communication skills.
- Ability to work independently and under pressure.
- Ethical mindset with strong integrity and confidentiality.
- Ability to build a team.
Remuneration and Perks
- Competitive remuneration in line with industry benchmarks
- Health insurance
- Birthday allowance
- Work-from-home options
- Staff-only investment opportunities
- High degree of flexibility.
Method of Application
Interested and qualified? Go to Volition Capital on docs.google.com to apply

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