Risk And Compliance Officer
2026-08-25T04:53:19+00:00
Sycamore Wealth Limited
https://www.greatmalawijobs.com/jsjobsdata/data/employer/comp_5650/logo/Sycamore%20Wealth%20Limited.png
https://sycamorewealthltd.com/
FULL_TIME
Victoria Avenue, Chayamba House, Third Floor
Lilongwe
Lilongwe
10101
Malawi
Professional Services
Accounting & Finance, Business Operations, Legal
2026-08-26T17:00:00+00:00
8
ABOUT US
Sycamore Wealth Limited is a newly licensed Portfolio Manager, having received its licence from the Registrar of Financial Institutions under the Reserve Bank of Malawi in February 2026. We are at an exciting and foundational stage of our journey, building a firm that will deliver credible, professional, and client-focused wealth and asset management services in Malawi.
We are looking for the right person to help us build this business from the ground up.
THE ROLE
As we strengthen our governance and risk management framework, Sycamore Wealth Limited is seeking a detail-oriented and proactive professional to join us as a Risk and Compliance Officer. You will play a key role in ensuring that the Company manages risks effectively and complies with all applicable laws, regulations, and internal policies.
KEY RESPONSIBILITIES
Management
- Identify, assess, monitor, and report on operational, financial, investment, and compliance risks.
- Maintain risk registers and monitor mitigation plans.
- Develop and monitor risk indicators and reports
Compliance Management
- Monitor compliance with laws, regulations, regulatory directives, and internal policies
- Conduct compliance reviews and recommend corrective actions
- Support AML/CFT, KYC, client onboarding, and data protection compliance
Monitoring & Reporting
- Prepare periodic risk and compliance reports for management and committees.
- Monitor investments to ensure compliance with mandates, limits, and risk parameters.
- Monitor regulatory developments and advise management on changes
Assurance & Controls
- Conduct compliance testing and follow up on identified gaps.
- Coordinate internal and external audits and monitor implementation of audit recommendations.
- Investigate compliance breaches and support remedial actions
Awareness & Administration
- Promote risk and compliance awareness across the organisation.
- Maintain proper records and documentation. Perform any other duties as assigned
QUALIFICATIONS & EXPERIENCE
- Bachelor's degree in Risk Management, Compliance, Finance, Accounting, Economics, Business Administration, Law, or a related field.
- Professional qualifications in Risk Management, Compliance, AML/CFT, Internal Audit or related discipline will be an added advantage.
- At least 2-3 years of relevant experience in risk management, compliance, audit, banking, investment management, or financial services.
- Good knowledge of financial services regulations, risk management principles, and compliance frameworks.
- Knowledge of AML/CFT, KYC, corporate governance, and regulatory compliance is an added advantage.
- Strong analytical, reporting, and communication skills.
- Proficiency in Microsoft Office, especially Excel and Word
WHAT WE OFFER
- A competitive remuneration package
- Opportunity to work in a dynamic and growing wealth management firm
- Professional growth and continuous learning opportunities
- A collaborative and high-performance culture
- Identify, assess, monitor, and report on operational, financial, investment, and compliance risks.
- Maintain risk registers and monitor mitigation plans.
- Develop and monitor risk indicators and reports
- Monitor compliance with laws, regulations, regulatory directives, and internal policies
- Conduct compliance reviews and recommend corrective actions
- Support AML/CFT, KYC, client onboarding, and data protection compliance
- Prepare periodic risk and compliance reports for management and committees.
- Monitor investments to ensure compliance with mandates, limits, and risk parameters.
- Monitor regulatory developments and advise management on changes
- Conduct compliance testing and follow up on identified gaps.
- Coordinate internal and external audits and monitor implementation of audit recommendations.
- Investigate compliance breaches and support remedial actions
- Promote risk and compliance awareness across the organisation.
- Maintain proper records and documentation. Perform any other duties as assigned
- Strong analytical skills
- Reporting skills
- Communication skills
- Proficiency in Microsoft Office, especially Excel and Word
- Bachelor's degree in Risk Management, Compliance, Finance, Accounting, Economics, Business Administration, Law, or a related field.
- Professional qualifications in Risk Management, Compliance, AML/CFT, Internal Audit or related discipline will be an added advantage.
- Good knowledge of financial services regulations, risk management principles, and compliance frameworks.
- Knowledge of AML/CFT, KYC, corporate governance, and regulatory compliance is an added advantage.
JOB-6a8d1fbf29220
Vacancy title:
Risk And Compliance Officer
[Type: FULL_TIME, Industry: Professional Services, Category: Accounting & Finance, Business Operations, Legal]
Jobs at:
Sycamore Wealth Limited
Deadline of this Job:
Wednesday, August 26 2026
Duty Station:
Victoria Avenue, Chayamba House, Third Floor | Lilongwe | Lilongwe
Summary
Date Posted: Tuesday, August 25 2026, Base Salary: Not Disclosed
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JOB DETAILS:
ABOUT US
Sycamore Wealth Limited is a newly licensed Portfolio Manager, having received its licence from the Registrar of Financial Institutions under the Reserve Bank of Malawi in February 2026. We are at an exciting and foundational stage of our journey, building a firm that will deliver credible, professional, and client-focused wealth and asset management services in Malawi.
We are looking for the right person to help us build this business from the ground up.
THE ROLE
As we strengthen our governance and risk management framework, Sycamore Wealth Limited is seeking a detail-oriented and proactive professional to join us as a Risk and Compliance Officer. You will play a key role in ensuring that the Company manages risks effectively and complies with all applicable laws, regulations, and internal policies.
KEY RESPONSIBILITIES
Management
- Identify, assess, monitor, and report on operational, financial, investment, and compliance risks.
- Maintain risk registers and monitor mitigation plans.
- Develop and monitor risk indicators and reports
Compliance Management
- Monitor compliance with laws, regulations, regulatory directives, and internal policies
- Conduct compliance reviews and recommend corrective actions
- Support AML/CFT, KYC, client onboarding, and data protection compliance
Monitoring & Reporting
- Prepare periodic risk and compliance reports for management and committees.
- Monitor investments to ensure compliance with mandates, limits, and risk parameters.
- Monitor regulatory developments and advise management on changes
Assurance & Controls
- Conduct compliance testing and follow up on identified gaps.
- Coordinate internal and external audits and monitor implementation of audit recommendations.
- Investigate compliance breaches and support remedial actions
Awareness & Administration
- Promote risk and compliance awareness across the organisation.
- Maintain proper records and documentation. Perform any other duties as assigned
QUALIFICATIONS & EXPERIENCE
- Bachelor's degree in Risk Management, Compliance, Finance, Accounting, Economics, Business Administration, Law, or a related field.
- Professional qualifications in Risk Management, Compliance, AML/CFT, Internal Audit or related discipline will be an added advantage.
- At least 2-3 years of relevant experience in risk management, compliance, audit, banking, investment management, or financial services.
- Good knowledge of financial services regulations, risk management principles, and compliance frameworks.
- Knowledge of AML/CFT, KYC, corporate governance, and regulatory compliance is an added advantage.
- Strong analytical, reporting, and communication skills.
- Proficiency in Microsoft Office, especially Excel and Word
WHAT WE OFFER
- A competitive remuneration package
- Opportunity to work in a dynamic and growing wealth management firm
- Professional growth and continuous learning opportunities
- A collaborative and high-performance culture
Work Hours: 8
Experience in Months: 12
Level of Education: bachelor degree
Job application procedure
Interested in applying for this job? Click here to submit your application now.
Application deadline is Wednesday, 26th August 2026.
Applications through this link that meet all requirements will be considered for shortlisting:
Only shortlisted candidates will be contacted. Sycamore Wealth Limited is an equal opportunity employer.
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