A seasoned assurance and risk professional, Certified Internal Auditor (CIA), Certification for Control SelfAssessment (CCSA) and Master of Philosophy in Governance, Assurance, Risk and Compliance with over 15 years of experience in the Financial Services Sector, Short-Term and Life Insurance, Banking and Investments. Highly motivated professional with a proven track record of managing complex reviews, stakeholder management, delivering meaningful reports and has extensive experience with reporting and presenting at executive and board committees. Possess a comprehensive understanding of all aspects of risk management, regulatory and control frameworks e.g. Solvency II, Basel, KING, ISO, NCA, Twin Peaks, STIA, POPI, FAIS, PPR, RDR, COFI Bill and TCF.
Planning and Organising