Head, Internal Control, Compliance & Risk Management (Microfinance) at First Excelsia
First Excelsia
Key Responsibilities
Develop an annual risk-based internal audit plan and oversee the implementation of the approved audit programs.
Ensure comprehensive documentation of audit work plans, testing results, conclusions, recommendations, and follow-up actions on identified deficiencies.
ÃÂâÃÂÃÂÃÂàProvide technical assistance on investigations and special audit assignments, offering subject-matter expertise where required.
ÃÂâÃÂÃÂÃÂàStay current on regulatory oversight trends and integrate a risk-based approach into audit planning and execution.
Conduct periodic bank-wide risk assessments to identify exposures relating to internal controls, regulatory compliance, operational efficiency, and financial reporting accuracy.
Provide recommendations to mitigate business risks and improve operational processes and efficiency.
Direct and coordinate the activities of external auditors to ensure compliance with prescribed standards and guidelines.
Prepare audit committee materials, participate in committee meetings, and present findings and recommendations to Executive Management and the Board.
ÃÂâÃÂÃÂÃÂàInvestigate and report on whistleblower and hotline cases, ensuring appropriate escalation and resolution.
Initiate and review policies and processes to ensure alignment with current legislation and industry best practices.
Identify internal control deficiencies using strong analytical and critical thinking skills, assess risk implications, and recommend appropriate corrective measures.
Lead enterprise risk assessment initiatives and maintain a comprehensive risk log.
Conduct follow-up reviews of financial, operational, and regulatory compliance deficiencies identified during audits.
ÃÂâÃÂÃÂÃÂàImplement and monitor anti-fraud initiatives across the Bank.
Prepare and submit monthly regulatory returns and statutory renditions.
Perform any other duties as assigned by Executive Management or the Board.
Person Specifications
Bachelor's degree in Accounting, Finance, Economics, or related fields
Professional certification (ACA, ACCA, CIBN) is mandatory.
ÃÂâÃÂÃÂÃÂàMinimum of 10 - 15 years' relevant experience in Internal Control, Compliance & Risk Management.
Must have banking experience in a similar senior-level role.
Strong knowledge of internal audit standards, regulatory frameworks, enterprise risk management, and corporate governance principles.
Excellent analytical, leadership, and stakeholder management skills.
High integrity and strong cultural alignment with the organization.