Company:
Hollard Insurance
Industry: Insurance
Deadline: Oct 31, 2025
Job Type: Full Time
Experience: 7 – 10 years
Location: Gauteng
Province:
Field: Law / Legal
Job Purpose:
- To provide legal and compliance support to the Investments business. Develop, implement, and maintain a system of compliance (i.e. 1st Line) for Hollard Investments (HI), and in addition provide legal support, across the 4 areas of business being Hollard Investment Managers, Honey Platform, Implemented Portfolios Solutions and Balance Sheet Management.
Key Responsibilities:
Compliance support:
- Responsible for the compliance program development, annual compliance strategy planning and compliance audit planning
- Undertake regulatory risk identification, assessments, risk management planning and monitoring activities
- Screen the regulatory environment for changes and developments that impact Hollard Investments
- Evaluate new regulatory requirements, advise business on practical impacts and implications
- Represent the Investments business on new compliance projects and initiatives to be implemented and where new or amended legislation requires it
- Guiding remedial action plans and risk mitigation strategies in line with businesses’ objectives
Sit on one or more of the following trustee boards :
- Hollard Life Retirement Annuity Fund
- Regent Life Retirement Annuity Fund
- ASISA Regulation 28 working group
- ASISA Retirement Fund Reform Steering Committee
- Maintain professional and technical knowledge by attending educational workshops, reviewing compliance related publications, and self-study
Legal Support:
- Provide advice and opinions on legal issues and risks and refer complex or urgent matters for external advice where appropriate
- Assess legal risks associated with contractual arrangements and advise the BU as to risks, thereof.
- Advising on the management of legal risks involved in implementing the Hollard Investments business plans.
- Manage the contracting process of appointed service providers
Required Knowledge and Experience
- Experience Min 7 to 10 years’ experience in the financial services industry in a risk and compliance management role
- Familiarity with the FAIS, CISCA, Insurance Act and/or LTI is a must
- Legal and compliance experience in the Investment Industry essential
- FSCA Compliance Officer – Registered Member of the Compliance Institute preferable
Educational Requirements
- A relevant Tertiary Degree – LLB degree and/or relevant post graduate diploma would be an advantage
- CFP (advantages)
- Regulatory exams Essential
Deadline:23rd October,2025

