Main Duties
- Monitoring the trading and conduct of licensed entities ,
- Investigating reported or suspended cases of insider trading , market manipulation and other forms of market infractions.
- developing customized, assessment tools to proactively detect market risks and recommend appropriate interventions
- Analysing the risks inherent in the products offered by supervised entities and carrying on-site assessment and offsite surveys to evaluate supervised entities ‘ risk management processes
- Undertaking stress tests and preparing quarterly risk assessment reports to guide optimal allocation of regulatory resources
- Recommending and implementing appropriate enforcement action
Qualifications required
- Relevant University Degree ( i.e Law , Applied Mathematics , Economics , Finance, Accounting )or Equivalent
- At least 1 year proven experience in financial regulation, capital markets or the financial services sector
- A good grasp of capital market laws and / or strong quantitative skills
How to apply :
Applications with C.Vs and certified copies of academic certificates and traceable letters of reference to be e-mailed to recruitment@seczim.co.zw .These should reach us NO LATER THAN FRIDAY 7 DECEMBER 2018.Only shortlisted candidates will be responded to
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