This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
The National Commercial Bank of Anguilla Ltd (NCBA), the leading financial institution in Anguilla, invites applications from suitably qualified and experienced professionals for the position of Senior Risk and Compliance Officer. This middle-management role has responsibility for the oversight of the Bank’s risk management, compliance and regulatory frameworks. As a key contributor within the Risk and Compliance function, the successful candidate will work closely with teams across the organisation to ensure NCBA maintains a strong and effective control environment and remains resilient in an evolving regulatory landscape. The Senior Risk and Compliance Officer reports directly to the Chief Risk Officer.
Job Responsibility:
Identifying and evaluating the Bank’s regulatory and compliance risks and contributing to the execution of comprehensive risk assessments
Planning and conducting risk reviews of significant business areas (including Credit, Market, Operational Investments, Capital Adequacy, Liquidity and Earnings)
Performing follow-up reviews to ensure risk mitigation plans are implemented
Ensuring effective escalation and reporting of breaches, incidents, and emerging risks
Overseeing enterprise-wide stress-testing frameworks and assessing the impact of stress scenarios on capital, liquidity, earnings and risk appetite
Supporting the development, implementation and oversight of the Bank’s Fraud Risk Management Programme
Collaborating across departments to develop, review and update policies and procedures
Overseeing compliance with banking laws, prudential regulations, supervisory expectations on consumer protection, and ensuring regulatory reporting is accurate and timely
Monitoring regulatory developments and assessing their impact on the Bank
Supporting regulatory examinations, audits and information requests
Requirements:
Bachelor’s degree in Accounting, Finance, Economics, Risk Management or a related field
Professional certification in Risk Management, Compliance, Internal Auditing and/or Accounting including FRM, IRMCert, CIA, CPA, ACCA
Minimum of five (5) years’ of full-time experience in banking, financial regulation and/or auditing
Comprehensive knowledge of financial services, risk management and compliance practices within the banking sector
Strong Analytical Skills to identify risks and recommend effective solutions
Familiarity with relevant laws and regulations applicable to the financial and banking industry
Proven ability to work independently and collaboratively with multidisciplinary teams
Strong problem-solving abilities and attention to detail
Nice to have:
Prior experience working with a Big4 Auditing firm would be an asset
A graduate degree in Banking, Finance, Risk Management or a related field and/or additional professional certifications may substitute for one year of required experience