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Manager - Compliance

MAL Consultancy Nairobi Posted Today
Legal Services Full Time, Onsite Closes Oct 14 · 7 days left

How to apply

Send your CV and cover letter to:

recruitment@mal-consultancy.com
Open email

Subject: Manager - Compliance – Your Name

Closes Oct 14 · 7 days left

Job type

Full Time, Onsite

Qualification

BA/BSc/HND, Professional Certificate

Experience

7 years

Location

Nairobi

Deadline

Oct 14

Job description & requirements

INTRODUCTION

Our client, a real-time payment services company established under the National Payment System (NPS) Act, to address the challenge of inter-bank money transfers in the country and beyond, is seeking to onboard a Manager – Compliance.

JOB SUMMARY

  • The Manager - Compliance is responsible for leading regulatory compliance execution, AML/CFT/CPF operations, transaction surveillance, data protection and privacy governance, KYC/KYB oversight, regulatory horizon-scanning, compliance quality assurance, and related legal and regulatory advisory activities. S/he will work closely with both internal and external stakeholders and partners to there is effective AML/CFT/CPF & transaction surveillance, data protection, privacy & AI compliance, KYC/KYB & due diligence governance. The Manager – Compliance will be responsible for regulatory compliance & horizon scanning while also supporting operationalization and governance of the business Scheme Council. S/he will establish and maintain a compliance QA process across key business operations. The Manager - Compliance will also support legal and regulatory advisory activities relevant to business operations.

DUTIES & RESPONSIBILITIES

AML/CFT/CPF & Transaction Surveillance

  • Oversee daily transaction screening and PEP, sanctions, and adverse/negative-news monitoring
  • Supervise resolution of Level 2 sanctions and screening alerts
  • Review, validate, and track high-priority Suspicious Transaction Reports (STRs) and Suspicious Activity Reports (SARs)
  • Ensure applicable STR/SAR filings are appropriately prepared and submitted to the Financial Reporting Centre (FRC) and CBK
  • Regularly calibrate and test transaction-monitoring rules to improve detection effectiveness.
  • Monitor emerging financial-crime typologies and recommend appropriate control enhancements.

Data Protection, Privacy & AI Compliance

  • Conduct Data Protection Impact Assessments (DPIAs) for new products, tools, systems, and processing activities
  • Ensure compliance with the Data Protection Act, 2019, and coordinate applicable Office of the Data Protection Commissioner (ODPC) requirements and filings
  • Maintain appropriate privacy governance and data-processing controls
  • Establish governance controls for AI/ML models, including fairness, transparency, accountability, and explainability
  • Provide compliance oversight for automated decision-making and data-driven technologies
  • Support privacy-by-design principles across new products and systems.

KYC/KYB & Due Diligence Governance

  • Establish and execute enterprise-wide KYC and KYB onboarding and periodic refresh procedures.
  • Ensure participant and merchant onboarding applications are verified and risk-scored within defined turnaround times.
  • Maintain scheduled periodic due diligence refresh cycles.
  • Ensure high-risk relationships receive appropriate enhanced due diligence.
  • Verify Ultimate Beneficial Ownership (UBO), PEP involvement, corporate structures, licenses, and identification documentation.
  • Maintain an audit-ready centralized compliance repository.
  • Implement automated triggers for expiring licenses, identification documents, and risk-profile updates.

Regulatory Compliance & Horizon Scanning

  • Conduct regular regulatory horizon-scanning activities
  • Identify legislative and regulatory developments affecting payment operations
  • Assess regulatory changes and coordinate implementation of required control or policy changes
  • Maintain a centralized repository of regulatory requirements, legal precedents, and relevant compliance opinions.
  • Support management with regulatory interpretation and compliance advisory services.

Scheme Governance & Industry Dispute Management

  • Support operationalization and governance of the business Scheme Council
  • Monitor interbank dispute-resolution SLAs
  • Prepare compliance and risk governance packs for Scheme Council meetings
  • Conduct quality assurance reviews of interbank clearing and settlement message workflows
  • Monitor participant compliance with applicable scheme requirements.

Compliance Quality Assurance

  • Establish and maintain compliance QA processes across key operational activities
  • Conduct periodic compliance reviews and control testing
  • Identify control weaknesses and coordinate remediation
  • Maintain evidence and documentation required for internal, external, and regulatory reviews.
  • Track compliance issues through to closure.

Legal & Regulatory Governance

  • Support legal and regulatory advisory activities relevant to business operations
  • Maintain and develop a searchable Digital Legal Opinion Library
  • Support interpretation and implementation of applicable regulatory requirements
  • Collaborate with Legal, Risk, Operations, Technology, and other functions to resolve compliance matters.

Operational Excellence

  • Maintain knowledge of the compliance function and stay abreast with the latest practices, trends, and technologies
  • Model best practices in compliance operations and activities in order to ensure maintenance of quality performance
  • Update job knowledge by participating in conferences and educational opportunities, reading professional publications, maintaining personal networks, and participating in relevant professional associations
  • Maintain quality service and partnerships by establishing and enforcing company compliance policies, procedures, standards, and values
  • Put in place proper quality control checks and balances within each operational activity assigned to the function
  • Regularly report on key performance indicators (KPIs) for all compliance-led projects and operations, demonstrating progress towards established goals and identifying areas for improvement.

Any other duties as required.

EDUCATION, SKILLS, KNOWLEDGE & EXPERIENCE REQUIRED

  • Bachelor’s Degree in Law, Compliance, Risk Management, Finance, Accounting, Business Administration, Information Systems, or any other relevant an

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