We invite applications from suitably qualified persons for the position of Compliance Officer – Investment Oversight Unit
MAJOR DUTIES & RESPONSIBILITIES:
· Assessment and reporting to management on the daily compliance of investment transactions with company policies, applicable laws, guidelines and regulations.
· Ensure compliance of investment transactions with internal policies, guidelines and regulations.
· Assist in monitoring and reporting on market indices changes and corporate actions, trading activity and fund holdings.
· Assist in ensuring that External Investment Managers adhere to relevant Investment Management and Service Level Agreements
· Assist in the coordination for internal/external audits
· Maintain current knowledge of applicable laws, regulations and guidelines relating to investments, as well as pending legislative changes.
QUALIFICATIONS, EXPERIENCE & SKILLS:
· A first degree in Business Administration, Accounting, Economics, Statistics or a related discipline from a recognized tertiary institution.
· At least two years’ working experience in a similar position.
· Working knowledge of life insurance principles and practices.
· Familiarity with FSC’s (Insurance, Securities & Pensions) regulatory requirements.
· Familiar with Financial risk estimation and management.
· Knowledge of the Company’s operations, products and services.
· Knowledge of project management principles, practices and techniques.
· Sound knowledge of marketing principles, practices and research.
· Sound knowledge of the government’s economic, monetary and financial policies and programmes and the regional and international economic and financial markets and the general socio-political environment.
Applications should be submitted to:
Senior Manager – HR & Records Management
Guardian Life Limited
12 Trafalgar Road, Kingston 5
Deadline for submission of application – Friday, December 5, 2025
All applications are appreciated; however it may only be possible to contact shortlisted applicants
· Assessment and reporting to management on the daily compliance of investment transactions with company policies, applicable laws, guidelines and regulations.
· Ensure compliance of investment transactions with internal policies, guidelines and regulations.
· Assist in monitoring and reporting on market indices changes and corporate actions, trading activity and fund holdings.
· Assist in ensuring that External Investment Managers adhere to relevant Investment Management and Service Level Agreements
· Assist in the coordination for internal/external audits
· Maintain current knowledge of applicable laws, regulations and guidelines relating to investments, as well as pending legislative changes