Compliance Manager at Nawy Real Estate
Cairo, Cairo, Egypt -
Full Time


Start Date

Immediate

Expiry Date

16 Feb, 26

Salary

0.0

Posted On

18 Nov, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Compliance, Regulatory Knowledge, Fund Documentation, Monitoring Operations, Policy Development, Communication, Report Writing, Legal Coordination, Risk Management, Financial Markets Knowledge, Asset Management, Investment Products, Regulatory Filings, Prospectus Drafting, Management Liaison, Auditing, Continuous Improvement

Industry

Real Estate

Description
The Compliance Officer will be responsible for ensuring the company’s full adherence to all regulatory, legal, and internal compliance requirements set by the Financial Regulatory Authority (FRA). The role involves overseeing fund documentation, continuous monitoring operations for regulatory compliance, maintaining policies and procedures, and serving as the key liaison with regulatory authorities. Responsibilities ● Ensure the company’s full compliance with FRA regulations, asset management laws, and internal policies. ● Monitor and review regulatory changes issued by the FRA and assess their impact on company operations. ● Prepare, submit, and follow up on regulatory filings, renewals, and reporting obligations. ● Draft, review, and update fund prospectuses, information memoranda, and related legal documents in accordance with FRA guidelines. ● Act as the primary contact point with the FRA and other regulators for all compliance-related matters. ● Communicate regulatory updates and requirements to management and relevant departments. ● Coordinate with legal advisors, custodians, and auditors to ensure documentation accuracy and compliance. ● Develop, implement, and regularly update the company’s compliance manual, policies, and procedures. ● Prepare and present regular compliance reports to senior management and the Board of Directors. ● Escalate potential breaches or issues promptly and propose corrective actions. ● Bachelor’s degree in Law, Business Administration, Finance, or a related field. ● Minimum 5 years of experience in compliance within an asset management company or investment firm. ● An international compliance association certificate (ICA) is a plus. ● Strong knowledge of FRA rules, regulations, and circulars governing investment funds and portfolio management. ● Proven experience in drafting and reviewing fund prospectuses and other regulatory documents. ● Excellent understanding of financial markets, asset management operations, and investment products. ● Strong communication and report-writing abilities (Arabic and English).
Responsibilities
The Compliance Manager will ensure the company's adherence to all regulatory and internal compliance requirements set by the Financial Regulatory Authority (FRA). This includes overseeing fund documentation, monitoring operations for compliance, and serving as the liaison with regulatory authorities.
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