217 Regulatory Compliance jobs in South Africa
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Senior Regulatory Compliance Specialist
Posted 12 days ago
Job Viewed
Job Description
Nedbank Johannesburg, Gauteng, South Africa
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Nedbank Johannesburg, Gauteng, South Africa
Join to apply for the Regulatory Compliance Specialist role at Nedbank
Requisition Details & Talent Acquisition Consultant
REQ 138402 - Michelle Thabethe
Location: Sandton
Job Family
Risk, Audit and Compliance
Career Stream
Regulatory Compliance
Leadership Pipeline
Manage Self: Professional
Job Purpose
- To consult, advise and report to the Group regarding relevant domestic and international legislation; compliance and governance to ensure adherence to relevant codes; regulations and rules thereby minimising risk to and protecting the reputation of Nedbank.
- Advise business on best practice for regulatory compliance by ensuring the business is educated on the regulatory landscape and by creating awareness around compliance implication of daily duties.
- Understanding, positioning and articulating for legislative change.
- Support the central function by assisting in developing of policies, procedures, frameworks and tools with specific focus on relevant risk legislation, for the benefit of the larger organisation.
- Define governance frameworks and ensure good governance practice.
- Advise and support the Group to ensure regulatory compliance standards are met and risks are mitigated.
- Identify, define and agree on the regulatory universe applicable for each relevant Business Unit, mitigating risks.
- Provide regulatory support and expertise in the formulation and completion of compliance risk management plans (CRMP's).
- Advise and support business in terms of applicability of legislation and in so doing, mitigate risk.
- Ensure that compliance risk as well as all other impacted risks are adequately identified and in so doing, guide the business in terms of addressing such risk.
- Guide business to ensure that business policies contain the right content addressing legislative requirements thereby working toward an effective and adequate control environment
- Advise business of changes in legislation and identify potential impact of these changes on the business.
- Influence the enhancement of business processes and methodologies specific to the area.
- Support and empower the Group to prevent compliance breaches and reputational risk from occurring, which could result in financial penalties.
- Create and strengthen awareness of the business compliance risk management in relation to evolving regulatory landscape.
- Promote and facilitate cross Cluster engagement, manage and improve business efficiencies.
- Engage with stakeholders on findings of compliance risk and control assessments to ensure action plans adhere to regulatory standards.
- Enable management to make informed decisions and prevent compliance breaches.
- Ensure that stakeholder relationships are effectively managed.
- Obtain buy-in for developing new and/or enhanced processes that will improve the functioning of stakeholders' businesses.
- Stay abreast of developments in field of expertise, ensuring personal and professional growth.
- Understand and embrace the Nedbank vision and values, leading by example.
- Manage performance through training, development and addressing poor performance through relevant channels.
- Educate self-regarding business, through engagement, meetings, procedures and policy awareness.
- Contribute to a culture of transformation by participating in Nedbank culture building initiatives, business strategy, and CSI.
- LLB
- Compliance Practitioner (SA) / CPrac (SA) / Admitted Attorney
- Relevant regulatory and compliance experience in relation to the following areas – inter alia Banks Act, Financial Intelligence Centre Act, National Credit Act,
- Managed risk and compliance
- Interpretation of legislation
- Checking accuracy of business feedback in response to evolving regulatory landscape
- Regulatory Reporting
- Industry engagements
- 5-10 years in a Compliance/ Legal/ Governance role
- Relevant Governance controls and regulatory knowledge
- Corporate Governance and Compliance
- Compliance reporting
- Policy and Procedural Knowledge
- 360° Decision Making
- Influencing
- Building Trusting Relationships
- Managing Work
- Quality Orientation
- Stress Tolerance
- Seniority level Mid-Senior level
- Employment type Full-time
- Job function Legal
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#J-18808-LjbffrSenior Regulatory Compliance Specialist
Posted 18 days ago
Job Viewed
Job Description
Risk, Audit and Compliance
Regulatory Compliance
Manage Self: Professional
Job Purpose- To consult, advise and report to the Group regarding relevant domestic and international legislation; compliance and governance to ensure adherence to relevant codes; regulations and rules thereby minimising risk to and protecting the reputation of Nedbank.
- Advise business on best practice for regulatory compliance by ensuring the business is educated on the regulatory landscape and by creating awareness around compliance implication of daily duties.
- Understanding, positioning and articulating for legislative change.
- Support the central function by assisting in developing of policies, procedures, frameworks and tools with specific focus on relevant risk legislation, for the benefit of the larger organisation.
- Define governance frameworks and ensure good governance practice.
- Advise and support the Group to ensure regulatory compliance standards are met and risks are mitigated.
- Identify, define and agree on the regulatory universe applicable for each relevant Business Unit, mitigating risks.
- Provide regulatory support and expertise in the formulation and completion of compliance risk management plans (CRMP's).
- Advise and support business in terms of applicability of legislation and in so doing, mitigate risk.
- Ensure that compliance risk as well as all other impacted risks are adequately identified and in so doing, guide the business in terms of addressing such risk.
- Guide business to ensure that business policies contain the right content addressing legislative requirements thereby working toward an effective and adequate control environment
- Advise business of changes in legislation and identify potential impact of these changes on the business.
- Influence the enhancement of business processes and methodologies specific to the area.
- Support and empower the Group to prevent compliance breaches and reputational risk from occurring, which could result in financial penalties.
- Create and strengthen awareness of the business compliance risk management in relation to evolving regulatory landscape.
- Promote and facilitate cross Cluster engagement, manage and improve business efficiencies.
- Engage with stakeholders on findings of compliance risk and control assessments to ensure action plans adhere to regulatory standards.
- Enable management to make informed decisions and prevent compliance breaches.
- Ensure that stakeholder relationships are effectively managed.
- Obtain buy-in for developing new and/or enhanced processes that will improve the functioning of stakeholders' businesses.
- Stay abreast of developments in field of expertise, ensuring personal and professional growth.
- Understand and embrace the Nedbank vision and values, leading by example.
- Manage performance through training, development and addressing poor performance through relevant channels.
- Educate self-regarding business, through engagement, meetings, procedures and policy awareness.
- Contribute to a culture of transformation by participating in Nedbank culture building initiatives, business strategy, and CSI.
- LLB
- Compliance Practitioner (SA) / CPrac (SA) / Admitted Attorney
- Relevant regulatory and compliance experience in relation to the following areas – inter alia Banks Act, Financial Intelligence Centre Act, National Credit Act,
- Managed risk and compliance
- Interpretation of legislation
- Checking accuracy of business feedback in response to evolving regulatory landscape
- Regulatory Reporting
- 5-10 years in a Compliance/ Legal/ Governance role
- Relevant Governance controls and regulatory knowledge
- Corporate Governance and Compliance
- Compliance reporting
- Policy and Procedural Knowledge
- Building Trusting Relationships
- Managing Work
- Quality Orientation
- Stress Tolerance
---
Please contact the Nedbank Recruiting Team at +27 860 555 566
If you can't find the job you're looking for, activate job alerts to be one of the first to know when new positions open up.
Nedbank Ltd Reg No 1951/0009/06.
Authorised financial services and registered credit provider (NCRCP16).
For assistance please contact the Nedbank Recruiting Team at +27 860 555 566
#J-18808-LjbffrSenior Regulatory Compliance Specialist
Posted 18 days ago
Job Viewed
Job Description
REQ 138402 - Michelle Thabethe
Location: Sandton
Closing Date: 18 March 2025
Job Family: Risk, Audit and Compliance
Career Stream: Regulatory Compliance
Leadership Pipeline: Manage Self: Professional
Job PurposeTo consult, advise and report to the Group regarding relevant domestic and international legislation; compliance and governance to ensure adherence to relevant codes; regulations and rules thereby minimising risk to and protecting the reputation of Nedbank.
Job Responsibilities- Advise business on best practice for regulatory compliance by ensuring the business is educated on the regulatory landscape and by creating awareness around compliance implication of daily duties.
- Understanding, positioning and articulating for legislative change.
- Support the central function by assisting in developing of policies, procedures, frameworks and tools with specific focus on relevant risk legislation, for the benefit of the larger organisation.
- Define governance frameworks and ensure good governance practice.
- Advise and support the Group to ensure regulatory compliance standards are met and risks are mitigated.
- Identify, define and agree on the regulatory universe applicable for each relevant Business Unit, mitigating risks.
- Provide regulatory support and expertise in the formulation and completion of compliance risk management plans (CRMP's).
- Advise and support business in terms of applicability of legislation and in so doing, mitigate risk.
- Ensure that compliance risk as well as all other impacted risks are adequately identified and in so doing, guide the business in terms of addressing such risk.
- Guide business to ensure that business policies contain the right content addressing legislative requirements thereby working toward an effective and adequate control environment.
- Advise business of changes in legislation and identify potential impact of these changes on the business.
- Influence the enhancement of business processes and methodologies specific to the area.
- Support and empower the Group to prevent compliance breaches and reputational risk from occurring, which could result in financial penalties.
- Create and strengthen awareness of the business compliance risk management in relation to evolving regulatory landscape.
- Promote and facilitate cross Cluster engagement, manage and improve business efficiencies.
- Engage with stakeholders on findings of compliance risk and control assessments to ensure action plans adhere to regulatory standards.
- Enable management to make informed decisions and prevent compliance breaches.
- Ensure that stakeholder relationships are effectively managed.
- Obtain buy-in for developing new and/or enhanced processes that will improve the functioning of stakeholders' businesses.
- Stay abreast of developments in field of expertise, ensuring personal and professional growth.
- Understand and embrace the Nedbank vision and values, leading by example.
- Manage performance through training, development and addressing poor performance through relevant channels.
- Educate self-regarding business, through engagement, meetings, procedures and policy awareness.
- Contribute to a culture of transformation by participating in Nedbank culture building initiatives, business strategy, and CSI.
- LLB
- Compliance Practitioner (SA) / CPrac (SA) / Admitted Attorney
- Relevant regulatory and compliance experience in relation to the following areas – inter alia Banks Act, Financial Intelligence Centre Act, National Credit Act.
- Managed risk and compliance.
- Interpretation of legislation.
- Checking accuracy of business feedback in response to evolving regulatory landscape.
- Regulatory Reporting.
- Industry engagements.
- 5-10 years in a Compliance/ Legal/ Governance role.
- Relevant Governance controls and regulatory knowledge.
- Corporate Governance and Compliance.
- Compliance reporting.
- Policy and Procedural Knowledge.
- 360° Decision Making.
- Influencing.
- Building Trusting Relationships.
- Managing Work.
- Quality Orientation.
- Stress Tolerance.
Please contact the Nedbank Recruiting Team at +27 860 555 566
#J-18808-LjbffrRegulatory And Compliance Specialist
Posted 1 day ago
Job Viewed
Job Description
REGULATORY AND COMPLIANCE SPECIALIST
OPERATIONS DIVISION, HAMMARSDALE
Location: Hammarsdale, Durban, South Africa
Language(s) Requirements: English
Seniority Level: Mid-Senior Level
Employment Type: Full-Time
A Regulatory and Compliance Specialist position has become available at an international manufacturing company. This is a fast - paced but friendly environment that will suit an organized person with a great eye for detail.
This position will contribute to the success of the company by taking the responsibility to ensure compliance with the laws and regulations associated with the sale of chemical products.
Qualifications
- Bachelor's degree in the field of regulatory/ compliance/ risk specialization or
- BSc or Bachelor in Technology (Chemistry/Engineering)
- At least 5 years’ experience as a regulatory compliance specialist, or similar
- 5 – 10 years in a chemical manufacturing plant or related process manufacturing industry.
- Must have a strong regulatory and compliance background.
- Ensuring that products are developed, manufactured and distributed in a manner that meets regulatory requirements.
- Manage/conduct internal and external compliance audits aligned to registrations, local, corporate and Legal requirements.
- Managing information systems that develops and generate regulatory documents.
- Coordinating regulatory compliance requirements across the organizational structures.
- Monitoring compliance and facilitating interventions to manage risks.
- Developing and enacting regulatory compliance policies, procedures and strategies.
- Providing training in regulatory and compliance practices and procedures.
- Incident Management/Non- Conformances related to regulatory compliance.
- Keeping abreast of local and international regulatory changes, developments and impacts on Buckman's business.
- Consultation and Communication with Stakeholders
- Managing associated day-to-day expenses
- Support compliance to and minimize our risk as per the POPIA legislative requirements.
- Initiate and implement continuous improvement.
- Providing support for the generation of Safety Data Sheets (SDS), label and tremcard development.
- Advanced knowledge and understanding of relevant corporate governance requirements and South African Regulatory Requirements in related industries.
- Knowledge of product regulations pertaining to NSF, FDA, Halaal, Kosher, BfR, REACH, Food Safety etc.
- Advanced understanding of relevant legislation and standards (non-proliferation of explosive material, regulatory, Occupational Health and Safety Act (Act 85 of 1993), ISO 9001:2015, 14001:2015 and 45001:2018).
- Advanced understanding the Globally Harmonised System (GHS) related to (SDS, label and tremcard development, generation and other legal requirements).
- Advanced understanding of information systems that generate SDS, label and tremcards
- Good knowledge of chemical technologies – Chemistry and Chemical Engineering
- The incumbent in this position is key to the company’s succession planning and may be given other assignments as part of ongoing developmental efforts.
- This site is a Major Hazard Installation (MHI) in terms of the MHI Regulations 2022 (GNR.2989 of 31 January 2023) of the Occupational Health and Safety Act (Act 85 of 1993)
Equity Statement
We are committed to a diverse and inclusive workplace when recruiting internally and externally. It is company policy to promote from within wherever possible. Therefore, please be aware that internal candidates will be considered first before reviewing external applicants, provided that this supports achievement of our Employment Equity goals.
Only candidates who meet the minimum requirements will be short listed. If you have not been contacted within 3 months of the closing date of the advertisement, please consider yourself unsuccessful.
CLOSING DATE: 24 June 2025
#J-18808-Ljbffr
Regulatory and Compliance Specialist
Posted 18 days ago
Job Viewed
Job Description
REGULATORY AND COMPLIANCE SPECIALIST
OPERATIONS DIVISION, HAMMARSDALE
Location: Hammarsdale, Durban, South Africa
Language(s) Requirements: English
Seniority Level: Mid-Senior Level
Employment Type: Full-Time
A Regulatory and Compliance Specialist p osition has become available at an international manufacturing company . This is a f ast - paced but friendly environment that will suit an organized person with a great eye for detail.
This position will contribute to the success of the company by taking the responsibility to ensure compliance with the laws and regulations associated with the sale of chemical products.
Qualificati ons
- Bachelor's degree in the field of regulatory / compliance/ risk specialization or
- BSc or Bachelor in Technology (Chemistry/Engineering)
Experience
- At least 5 years’ experience as a regulatory compliance specialist, or similar
- 5 – 10 years in a chemical manufacturing plant or related process manufacturing industry.
- Must have a strong regulatory and compliance background.
The incumbent will be responsible for the following inter alia :
- Ensuring that products are developed, manufactured and distributed in a manner that meets regulatory requirements.
- Manage/conduct internal and external compliance audits aligned to registrations, local, corporate and Legal requirements.
- Managing information systems that develops and generate regulatory documents.
- Coordinating regulatory compliance requirements across the organizational structures.
- Monitoring compliance and facilitating interventions to manage risks.
- Developing and enacting regulatory compliance policies, procedures and strategies.
- Providing training in regulatory and compliance practices and procedures.
- Incident Management/Non- Conformances related to regulatory compliance.
- Keeping abreast of local and international regulatory changes, developments and impacts on Buckman's business.
- Consultation and Communication with Stakeholders
- Managing associated day-to-day expenses
- Support compliance to and minimize our risk as per the POPIA legislative requirements.
- Initiate and implement continuous improvement .
- Providing support for the generation of Safety Data Sheets (SDS), label and tremcard development.
Knowledge, skills and abilities required
- Advanced knowledge and understanding of relevant corporate governance requirements and South African Regulatory Requirements in related industries.
- Knowledge of product regulations pertaining to NSF, FDA, Halaal, Kosher, BfR, REACH, Food Safety etc.
- Advanced understanding of relevant legislation and standards (non-proliferation of explosive material, regulatory, Occupational Health and Safety Act (Act 85 of 1993) , I SO 9001:2015, 14001:2015 and 45001:2018 ).
- Advanced understanding the Globally Harmonised System (GHS) related to ( SDS, label and tremcard development, generation and other legal requirements ).
- Advanced understanding of information systems that generate SDS, label and tremcards
- Good knowledge of chemical technologies – Chemistry and Chemical Engineering
Please note:
- The incumbent in this position is key to the company’s succession planning and may be given other assignments as part of ongoing developmental efforts.
- This site is a Major Hazard Installation (MHI) in terms of the MHI Regulations 2022 (GNR.2989 of 31 January 2023) of the Occupational Health and Safety Act (Act 85 of 1993)
The job calls for a highly energetic, self - driven, independent, self-motivated person with excellent problem solving and communication skills, ability to meet tight deadlines and work under pressure, work in a professional manner at all times taking ownership of ensuring they stay o n top of things to limit (repetitive) failures. Candidates must possess high levels of integrity together with strong self-leadership abilities.
Equity Statement
We are committed to a diverse and inclusive workplace when recruiting internally and externally. It is company policy to promote from within wherever possible. Therefore, please be aware that internal candidates will be considered first before reviewing external applicants, provided that this supports achievement of our Employment Equity goals.
Only candidates who meet the minimum requirements will be short listed. If you have not been contacted within 3 months of the closing date of the advertisement, please consider yourself unsuccessful.
CLOSING DATE: 24 June 2025
#LI-TD1
#J-18808-LjbffrSenior Regulatory Compliance Manager
Posted 4 days ago
Job Viewed
Job Description
A position has become available for a Senior Regulatory Compliance Manager based in Durban.
Job Purpose
Provide advice, guidance, recommendations on the adherence of regulatory compliance practices in client facing divisions ensuring compliance regulatory risks are identified, assessed, and reported on for the Group.
Job Responsibilities
- Identify and manage all Regulatory requirements of the Group.
- Manage the completion of all commentary and/or impact assessments requests from various Regulatory Bodies including the Prudential Authority, Financial Intelligence Centre, National Credit Regulator, and Information Regulator.
- Provide expert guidance and recommendations to ensure adherence to multiple laws and regulations regulating the affairs of the Group.
- Demonstrate in-depth understanding of key legislation such as the NCA, FAIS Act, POPIA, FIC, and other applicable laws (including subordinate legislation) that impact the Group.
- Conduct compliance regulatory training, keeping Compliance and all internal stakeholders (1st line) informed and updated on regulatory changes and policy requirements.
- Build and maintain trusted relationships with internal stakeholders by establishing effective partnerships to identify and manage compliance regulatory risks.
- Develop and maintain a clear understanding of the scope and nature of the business conducted by 1st line (business acumen).
- Develop a solid understanding of all high-risk legislation that applies to the Group.
- Keep abreast of all regulatory developments/changes that may potentially impact the Group and engage with all relevant stakeholders on a timely basis to ensure business readiness and ongoing compliance risk management.
- Contribute to the creation of a compliance culture and compliance awareness in the division by becoming a trusted advisor.
- Execute on all Regulatory Compliance projects (end-to-end) within set timelines.
- Provide advice, guidance, and recommendations on whether regulatory compliance requirements are met.
- Ensure accurate and timely reporting on any non-compliance, the management of compliance risks, and the state of compliance in the division.
- Provide advice, guidance, and recommendations to stakeholders on the state of regulatory compliance by reporting on how key risks are being managed, highlighting areas that require immediate attention, and recommending corrective action to stakeholders.
- Present potential compliance regulatory findings to stakeholders through formal engagement. Take an active part in all Regulatory Compliance governance.
- Assist in filing regulatory reports to the respective regulators, keeping the Group in good standing with regulatory bodies.
Qualifications:
- LLB Degree
- Admitted Attorney
- Member of the Compliance Institute of SA
- RE5 Accredited: Advantageous
- 5-7 years’ experience in a regulatory compliance position, 3 of which must have been in a managerial role - preferably in financial services.
Salary market related for a senior position.
#J-18808-LjbffrSenior Manager - Regulatory Compliance
Posted 4 days ago
Job Viewed
Job Description
Responsibilities:
- Identify and manage all Regulatory requirements of the Group, including mortgage providers and insurance companies offering credit life and homeowners.
- Manage the completion of all commentary and/or impact assessments requested from various Regulatory Bodies including the Prudential Authority, Financial Intelligence Centre, National Credit Regulator, and Information Regulator.
- Provide expert guidance and recommendations to ensure adherence to multiple laws and regulations regulating the affairs of the Group.
- Demonstrate an in-depth understanding of key legislations such as the NCA, FAIS Act, POPIA, FIC, and other applicable laws (including subordinate legislation) that impact the Group.
- Conduct compliance regulatory training, keeping Compliance and all internal stakeholders (1st line) informed and updated on regulatory changes and policy requirements.
- Build and maintain trusted relationships with internal stakeholders (i.e., the Division’s 1st line as well as 2nd line functions) by establishing effective partnerships to identify and manage compliance regulatory risks.
- Develop and maintain a clear understanding of the scope and nature of the business conducted by 1st line (business acumen).
- Develop a solid understanding of all high-risk legislation that applies to the Group.
- Keep abreast of all regulatory developments/changes that may potentially impact the Group and engage with all relevant stakeholders on a timely basis to ensure business readiness and ongoing compliance risk management.
- Contribute to the creation of a compliance culture and compliance awareness in the division by becoming a trusted advisor to 1st line (whilst maintaining independence of mind as part of 2nd line).
- Execute on all Regulatory Compliance projects (end-to-end) within set timelines.
- Provide advice, guidance, and recommendations to 1st and 2nd line on whether regulatory compliance requirements are met.
- Ensure accurate and timely reporting on any non-compliance, the management of compliance risks, and the state of compliance in the division (1st line).
- Provide advice, guidance, and recommendations to stakeholders on the state of regulatory compliance by reporting on how key risks are being managed, highlighting areas that require immediate attention, and recommending corrective action to stakeholders.
- Present potential compliance regulatory findings to stakeholders through formal engagement. Take an active part in all Regulatory Compliance governance.
- Assist in filing regulatory reports to the respective regulators, keeping the Group in good standing with regulatory bodies.
- LLB Degree
- Admitted Attorney
- Member of the Compliance Institute of SA
- RE5
How to ApplyPlease forward your CV to . Should you not be contacted within 2 weeks, kindly consider your application unsuccessful.
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Senior Manager Regulatory Compliance
Posted 4 days ago
Job Viewed
Job Description
Location: Durban
Well-established financial services client is looking for a Senior Regulatory Compliance Manager with 5 years in a similar position.
Salary: Negotiable based on experience and qualifications
Minimum Requirements:
- LLB Degree
- Admitted Attorney
- Member of the Compliance Institute of SA
- RE5 Accredited: Advantageous
- 5 years’ experience in a regulatory compliance position
- 3 years managerial experience
- Must come from the financial services industry
Full job description will be discussed in the interview process.
Please apply online.
FROGG Recruitment
We offer:
- Medical Aid Contribution
- Provident Fund Contribution
Director, Digital Regulation, Ethics & Regulatory Compliance
Posted 4 days ago
Job Viewed
Job Description
Are you interested in how digital technologies shape almost every aspect of our everyday lives – from remote working and e-commerce to social media, dating apps, online gaming and more?
Are you interested in the challenges society faces in combating disinformation, keeping children safe online, preventing harmful content and behaviour, enabling fair digital competition, supporting freedom of speech, protecting data privacy, and responding to the risks of ever more advanced AI models and tools? If so, this may be the role for you.
We are at global crossroads as regulators and policymakers bring a wave of new laws and regulations aimed at regulating digital platforms and the wider technology, media and telecommunications industry. Whether it is social networks, messaging services, search engines, app stores or online marketplaces… all digital business will be affected.
Deloitte’s Digital Regulation offering is formed of a multi-disciplinary team that includes governance, risk and compliance specialists, lawyers, trust & safety professionals, auditors, technologists, and digital regulation and policy experts working in collaboration with specialist teams across Deloitte. We are helping some of the world’s leading brands navigate the challenges of regulatory change by delivering premium advisory services, as well as operating model transformation design and delivery, and regulation specific support. Through our work we make an impact that matters by improving the rights of the 5.5bn+ global users of digital technology.
Connect to your career at Deloitte
Deloitte drives progress. Using our vast range of expertise, we help our clients' become leaders wherever they choose to compete. To do this, we invest in outstanding people. We build teams of future thinkers, with diverse talents and backgrounds, and empower them all to reach for and achieve more.
What brings us all together at Deloitte?It’show we approach the thousands of decisions we make everyday. How we behave, our beliefs and our attitudes. In other words: our values. Whatever we do, whereverwe arein the world, welead the way ,serve with integrity , take care of each other ,fosterinclusion , andcollaborate for measurable impact . These five shared values lead every decision wemake and action we take, guiding us to deliver impact how and where it mattersmost .
Connect to your opportunity
We are looking to expand our Digital Regulation team with highly motivated and collaborative individuals who will bring an understanding of risk and regulatory compliance issues along with project delivery skills, aimed at defining and delivering bespoke regulatory compliance solutions and building strong & trusted relationships with our target clients.
Our team works with some of the largest and most complex technology, media and telecommunications organizations in the world and successful candidates would be able to support these platforms across the end-to-end regulatory lifecycle of digital regulations from operating model design and implementation, identification and mitigation of digital platform risk and preparation for independent audits.
We are recruiting candidates with a range of skills for our multidisciplinary team. This role would suit experienced risk and compliance professionals looking for a new purpose; Trust & Safety leaders who are looking to take on the next challenge; or a digital regulation or policy expert who’s ready to roll up their sleeves and get hands-on experience of practical implementation of regulations.
- Successful candidates would be able to support clients across one or more of the following areas:
- Designing and implementing enterprise level governance, risk and compliance frameworks;
- Performing regulatory risk assessments (for example, online safety risk assessments or compliance risk assessments);
- Helping businesses document regulatory controls and preparing for independent audit (including ISAE3000);
- Setting up Trust & Safety and Content Compliance processes/controls (including in the areas of minor/vulnerable user safety, fundamental rights, codes of practice, deepfakes and NCII);
- Advising on specific regulatory domains including internet regulation, artificial intelligence and media regulation;
- Underpinning compliance processes with proportionate RegTech solutions;
- Working across multiple industries, you will need to work with clients to help them identify challenges with their existing risk and compliance capabilities and help provide solutions via a combination of advisory, process, capability and/or technology improvements.
Connect to your skills and professional experience
You’re adaptable and able to understand and assimilate regulatory issues across different types of industries and to develop insights into how these issues might affect different types of businesses and can change direction quickly as industry standards emerge or client priorities change.
You take a pragmatic approach to compliance centered on a solid understanding of governance, ethics and compliance frameworks, thus enabling us to provide sound advice to our clients to help them meet the challenges they face and minimise risks in an effective, efficient, and coherent manner.
You’re passionate about technology and innovation, and thoughtful about the drivers for regulatory transformation (online harms, competition, AI/Machine Learning) and the wider regulatory ecosystem in which our clients operate.
We encourage an agile approach to working and we expect an individual to work in a way that meets both the needs of the clients, the team, and their personal situation.
- Excellent client relationship skills and experience and a track record of large-scale business development and market-making;
- Background in Governance, Risk, Ethics and/or Compliance either in industry or professional services (or a sound understanding of the area / willingness to learn);
- Proven track record of delivering complex projects, often to tight timelines, and meeting scope, budget and quality requirements;
- Knowledge of key flagship digital regulations, which could include: EU (European Union) Digital Services Act, EU Digital Markets Act, EU AI Act, EU Media Act and UK Online Safety Act;
- A keen interest in understanding digital technologies and the harms these can have on society;
- Experience supervising and guiding team members, with coaching/mentoring, objective setting, performance management and career development;
- Open to travel to client sites and/or flex working hours to match client as required by this position.
Individuals should have all or some of the following personal skills:
- Team-working and inclusive working style;
- Innovative in working style and nature;
- Excellent communications skills (including presentations, report and proposal writing);
- Good commercial acumen; Confidence in navigating complexity and ambiguity; Ability to work as part of a global diverse team in an agile environment;
- Problem solving to help build solutions for clients by applying insight and experience.
- Experience using technology platforms or solutions to support / deliver projects;
- Foreign language skills and/or proven record of working across/with different geographies.
Connect to your business -Strategy, Risk & Transactions Advisory
In an ever-evolving world, there are no certainties in business. Our teams help clients to navigate risks, process major transactions and deliver transformational change that will future-proof their business. Join us to make a positive difference.
Regulatory & Financial Risk
We provide advisory services across the risk and regulatory landscape to help our clients move beyond simply meeting the minimum compliance standards, to strategically creating a responsible, sustainable future. This includes providing critical insight and advice on the future of regulation to assist our clients in anticipating change and responding with confidence.
Personal independence
Regulation and controls are standard practice in our industry and Deloitte is no exception. These controls provide important legal protection for both you and the firm. We are subject to a number of audit regulations, one of which requires that certain colleagues abide by specific personal independence constraints (e.g., in relation to any financial interests and employment relationships). This can mean that you and your "Immediate Family Members" are not permitted to hold certain financial interests (shares, funds, bonds etc.) with audit clients of the firm, and also prohibitions on certain employment relationships (e.g., you are not permitted to hold a secondary employment role with SEC audit clients of the firm whilst being employed by the firm). The recruitment team will provide further detail as you progress through the recruitment process or you can contact the Independence team upon request.
Connect with your colleagues
“For me it’s the people that make it. They are bright, supportive, interesting; we work brilliantly together as a team. But it’s not just that, the number of opportunities you get working for such a large firm is amazing.” - Jess, Strategy, Risk & Transactions Advisory
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#J-18808-LjbffrSenior Manager : Inspectorate and Regulatory Compliance
Posted 6 days ago
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Job Description
Job Title: Senior Manager: Inspectorate and Regulatory Compliance
Job Location: Gauteng, Pretoria
Deadline: August 30, 2025
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- Matric certificate, Pharmacy degree / Registration as a Pharmacist with the South African Pharmacy Council (SAPC).
- Post-graduate qualification in Pharmaceutical or Scientific Master’s degree at NQF level 9 as recognised by the South African Qualifications Authority (SAQA).
- Management qualification (MBA / MBL / MAP) or similar qualification will be an added advantage. A valid driver’s license is also required.
- At least 10 years’ relevant experience in the medicines regulatory field, of which five (5) years must be at a management level (level 12 – 13) supporting business operations. Two (2) years at senior management level (level 13 – 14) will be an added advantage.
- Extensive knowledge and application of the Medicines & Related Substances Act (Act 101 of 1965) and its Regulations, Hazardous Substances Act 1973, National Health Act 2003, and working knowledge of the Criminal Procedure Act.
- Extensive knowledge of GMP, GLP, GWP, GCP, GVP, and GDP.
- Develop and coordinate systems for managing all operations of the Regulatory Compliance and Inspectorate Programme. Develop strategies, annual performance plans, operational plans, and budgets aligned with organisational needs to ensure effective resource utilization.
- Contribute to strategic and operational planning as a member of the senior management team to achieve organisational objectives and meet stakeholder needs.
- Prepare monthly, quarterly, and annual reports on programme activities, including monitoring timelines.
- Oversee enforcement of relevant legislation, including monitoring importation and use of narcotics, handling of medicines, product recalls, investigations of counterfeit medicines, and inspections (GMP, GCP, GWP, GLP, GVP, GDP).
- Oversee preparation and endorsement of reports for relevant advisory committees in accordance with legal requirements and SOPs of SAHPRA.
- Manage communication regarding inspections, compliance, and licensing to guide public health policies and interventions.
- Develop, implement, and maintain regulations, guidelines, policies, and procedures to ensure compliance with international and national standards.
- Liaise with industry representatives, international regulators, law enforcement, and other stakeholders to establish productive relationships.
- Ensure active participation of South African regulatory functions in the global arena.
- Oversee compliance with SLAs with outsourced services like laboratories to meet quality and delivery standards.
- Train and manage subordinate managers, promoting high ethical conduct and performance standards.
- Handle general financial, human resources, and performance management functions.
- Perform additional functions as delegated by the Chief Regulatory Officer or CEO.