Compliance Officer at Cavista
At Cavista, our mission is to empower organizations with the worldâs best technology solutions. We ensure the highest level of client satisfaction through a global network of innovation, and our software solutions are custom-built to accommodate your domain and requirements. Through world-class consultation, innovative IT solutions and personalized client services, Cavista increases operational efficiency for organizations of allÃÂ sizes.Job Description
Develop, implement, and continuously enhance the Company's compliance framework, policies, and control systems.
Ensure all business processes and transactions comply with regulatory guidelines and internal policies.
Support corporate governance structures, including board reporting, statutory filings, and policy oversight.
Monitor regulatory changes and ensure timely communication and implementation across the Company.
Serve as primary interface with regulatory bodies, auditors, and external legal advisers.
Oversee timely and accurate regulatory filings to prevent penalties and maintain compliance standing.
Conduct ongoing compliance risk assessments and recommend mitigation strategies.
Implement risk-based internal controls and compliance testing mechanisms.
Lead investigations of compliance breaches and recommend corrective actions.
Oversee periodic compliance audits and reviews across subsidiaries and business units.
Ensure effective documentation, custodianship, and recordâkeeping of compliance activities.
Review and approve compliance-related documentation, processes, and workflows.
Develop and deliver compliance training for employees on regulations such as AML, antiâbribery, data protection, and financial crime.
Promote a culture of integrity, transparency, and ethical conduct throughout the Company.
Oversee the monitoring, detection, investigation, and reporting of suspicious and fraudulent transactions
Ensure effective transaction monitoring and fraud detection controls are implemented and maintained
Review fraud alerts, escalation reports, and investigation outcomes
Coordinate timely filing of Suspicious Transaction Reports (STRs) and other regulatory reports
Liaise with regulators, law enforcement agencies, and financial intelligence units on fraud-related matters
Qualifications
BSc/BA in law
Must be Call to Bar
Proven work experience as a Compliance Officer or similar role
Strong analytical and critical thinking skills
Excellent verbal and written communication skills
Documenting and reporting skills
Relevant training and/or certifications as a Compliance Officer
Knowledge of legal requirements and controls in areas such as Anti-Money Laundering.
Familiarity with industry practices and professional standards.
Excellent communication skills.
Integrity and professional ethics.
Teamwork skills.
