Jobs

Citibank Nigeria Limited Job in Lagos for a CGMNL Compliance Officer


Citibank Nigeria Limited, the leading global financial services company, provides consumers, corporations, governments and institutions with a broad range of financial products and services.


Citibank Nigeria Limited is recruiting to fill the position of:

Job Title: CGMNL Compliance Officer

Job ID: 16001056
Location: Lagos

Job Purpose

  • A key individual responsible for developing and maintaining a robust control environment in the franchise, coordinating, monitoring and advising on compliance with business, global, regional, and local policies, procedures, and requirements.
  • This individual will be responsible for ensuring that Citi Global Markets Nigeria Limited (“CGMNL”) complies with the rules and regulations of applicable regulatory agencies and that Citi policies and procedures are being followed.
  • This role will also entail general compliance responsibilities including but not limited to ensuring that CGMNL is in compliance with AML, Sanctions and Anti-Bribery & Corruption standards and related regulations.
Job Background/context
  • The role is responsible for the day to day compliance activities of CGMNL by providing prompt and effective compliance guidance on regulatory and policy matters to the business units to ensure regulatory and reputational sound deals, thus assisting the business to meet revenue target and minimize regulatory penalties.
Key Responsibilities
  • Coordinate compliance risk management for CGMNL.
  • Provide compliance advice and effective support to the business on compliance related enquiries including AML, Sanctions, Financial promotions and communications.
  • Work with key stakeholders to identify and mitigate risks associated with existing and new deals and business lines with emphasis on higher risk customers.
  • Ensure that internal procedures are up to date with relevant legislation and ensuring that such procedures are complied with.
  • Ensure required regulatory and internal reports are generated and rendered accurately and timely within specified deadlines.
  • Be familiar with local money laundering laws and standards.
  • Undertake AML related investigations arising from internal monitoring as well as ad hoc referrals.
  • Report suspicious activity to the relevant authorities in a timely manner.
  • Liaise with local Regulators, Law Enforcement and other Governmental Bodies and ensure good relationships with the same.
  • Develop and deliver tailored training programs for the business.
  • Instigate and manage ad hoc projects as required.
  • Keeping the business abreast of any regulatory developments, sanctions and industry best practices and assessing the impact on current procedures and ensuring that necessary changes are implemented.
  • Sound knowledge of products and market practices with regards to Capital Market operations specifically, Issuing House and Equities Businesses.
  • Ensure that reporting, oversight and feedback mechanisms operate efficiently within compliance and support a “no surprise” culture, with early surfacing of issues.
  • Respond to Sanctions related escalations and investigations.
  • Be familiar with the US, local and major international laws, regulations and standards.
Development value:
  • Opportunity to work at one of the most diverse global financial groups in the world.
  • Exposure to international best practices.
  • Visibility and accountability to senior management.
Knowledge/Experience
  • Minimum of ten (10) years relevant post-qualification experience (excluding NYSC).
  • Capital Markets experience.
  • Sponsored Individual registration with the Securities and Exchange Commission.
  • Operations, Control, risk related experience will be an added advantage.
  • In depth knowledge of the Nigerian Securities and Exchange Commission rules.
  • Knowledge of other relevant regulations and industry guidance in the Nigerian Capital Markets.
Skills:
  • Strong interpersonal skills.
  • Significant attention to detail.
  • Ability to communicate with and present to all levels of staff particularly Senior Management.
  • Proficiency in Microsoft Office applications.
  • Ability to embrace new technologies.
  • Strategic and goal-oriented thinker.
  • Commitment to a co-operative and collaborative working environment, requiring an innovative approach to meeting sometimes challenging demands.
  • Ability to work individually and in teams on all aspects of Compliance.
Qualifications
  • A first degree in a relevant field including Finance, Accounting, Economics, Banking, Business Management or Law.
  • Relevant higher degree or professional qualification.

Method of Application
Interested and qualified candidates should:
Click here to apply