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Manager Market Conduct Employment Opportunity, Kampala

Published 2023-05-25
Expires 2023-06-25
ID #1589023792
Free
Manager Market Conduct Employment Opportunity, Kampala
Uganda, Central Region, Kampala,
Published May 25, 2023

Job details:

Job type: Full time
Contract type: Permanent
Salary type: Monthly
Occupation: Manager market conduct employment opportunity


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Description

Job Title: Organization: Uganda Retirement Benefits Regulatory Authority (URBRA)Duty Station: Kampala, UgandaReports to: Chief Manager Supervision and Market Conduct About US:The Uganda Retirement Benefits Regulatory Authority manages retirement plans for Uganda’s public workforce by serving as the fiduciary stewards of the contributions and disbursements of the pension trust funds. In partnership with the state’s public employers, we help ensure that they can offer their employees a comprehensive retirement plan that is responsive to their needs and is equitable to all stakeholders. URBRA’s primary mandates include; Regulate the establishment, management and operation of retirement benefits schemes in Uganda in both private and public sectorSupervise institutions which provide retirement benefits products and servicesProtect the interest of member and beneficiaries of retirement benefits schemesPromote the development of the retirement benefits sectorProvide for licensing for custodians, trustees, administration and fund managers of retirement benefits schemes, the appointment of inspectors and interim administrators. Job Summary: The Manager Market Conduct will manage market conduct of regulated entities. Key Duties and Responsibilities: Manage the licensing process of regulated entities.Conduct early warning test for service providers.Monitor compliance of licensed entities with laws, regulations and guidelines and prepare reports on compliance performanceMonitor licensed entities’ market practices and professional conduct to ensure fairnessMake recommendations for amendment of the URBRA Act and regulations arising from market oversight experience.Prepare regulatory practice notes or guidance on market conduct and licensing issuesReview proposals for new products and retirement plansDevelop and implement market conduct and licensing assessment procedures and guidelinesDevelop and implement consumer protection strategies.Lead implementation of the trustee certification program and other capacity building programs for licensed entitiesReview reports on market conduct investigations and recommend supervisory actionMonitor developments in compliance and market conduct practices and advise management on implications to the sector.Supervise the staff of the department Qualifications, Skills and Experience: The applicant should preferably hold an honors Bachelor’s degree in either Law, Economics, Accounting, Business Administration, or Finance from a recognized university.Master’s Degree in any of the above fields from a recognized University.Professional qualification in any of above field is desiredMembership in a relevant professional body is an added advantageAt least seven years of relevant working experience, 4 (four) of which must have been at senior officer level or equivalent, providing either supervisory, compliance, risk analysis, Surveillance, or enforcement in a financial sector regulatory or regulated institution.Knowledge of legal and regulatory provisionsStrategic Planning and ImplementationAnalytical skillsRisk managementICT​ proficiencyNegotiation skillsEthics and IntegrityConfidentialityInnovativenessDecision Making and Problem SolvingExcellent oral and written communication skills;Excellent interpersonal skillsResults and team orientedLeadership SkillsMentoring and coachingTime management

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