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Risk & Compliance Officer

JALI S.C PLC (JSC)

JALI S.C PLC is an Investee Company of JALI Investment Ltd and JALI Transport Ltd which are an investment Companies of Rwanda Federal Union of Transport Cooperatives (RFTC). The Company was registered under the laws of the Republic of Rwanda by the Rwanda Development Board on the 26th January 2018. JALI S.C PLC was licensed by National Bank of Rwanda on 3rd January 2019 and in conformity with article 4 of BNR regulation number 02/2009 on the organization of Microfinance. it was allowed to operate microfinance activities in Rwanda under the status of Public limited Company. JALI S.C PLC was authorized to perform all activities for which the license has been granted. Its headquarters is located at : AMASHYIRAHAMWE - Modern Market Building /Nyabugogo opposite WASAC Kimisagara Road at Kigali.

The main founding objective of JALI S.C PLC is to provide reliable and affordable financial solutions initially to Small and Medium Size Enterprises and local individuals. Our primary targeted clientele is mainly made up of members of transport cooperatives across Rwanda, drivers, motor, vehicle operators, garages and spare parts shops, car wash bay businesses and individual transport operators but will also extend financial services to the rest of the public. Currently JALI S.C PLC has one main branch and it’s going to make use of agency banking before putting branches in place. The company has a total number of 10 employees that including a Managing Director, 2 managers and 7 other employees.

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JOB ADVERTISEMENT

We are seeking to recruit a qualified, competent, and committed Risk & Compliance Officer to support the institution in strengthening its risk management, regulatory compliance, internal controls, and governance framework.

Position: Risk & Compliance Officer
Duty Station: Head Office, Kigali, Rwanda
Employment Type: Full-time
Reports to: Managing Director / Management

The Risk & Compliance Officer will be responsible for:

  • Advise Management and the Board on human resource risks and compliance obligations;
  • Identify, assess and monitor employee - related legal, regulatory, conduct, fraud and operational risks;
  • Review proposed HR policies and material amendments for regulatory and risk implications;
  • Monitor compliance with BNR fit - and - proper and approval requirements;
  • Monitor employee declarations concerning conflicts of interest, related parties, outside interests and integrity;
  • Monitor completion of mandatory regulatory and compliance training;
  • Maintain or coordinate the register of regulatory and compliance findings;
  • Assign or confirm responsible owners and implementation deadlines for regulatory and compliance corrective actions;
  • Obtain periodic implementation updates and supporting evidence;
  • Challenge delayed, incomplete or ineffective corrective actions;
  • Report implementation status to Management and the Board Risk and Compliance Committee;
  • Escalate overdue high - risk findings;
  • Coordinate Management’s responses to BNR inspections and regulatory correspondence;
  • Review material HR exceptions for risk and compliance implications;
  • Monitor employee conduct and compliance trends;
  • advise on regulatory reporting or notification arising from employee appointment, suspension, misconduct or termination;
  • Support investigations involving regulatory or compliance breaches while preserving appropriate independence;
  • Coordinate with Internal Audit and avoid duplication of assurance work; and
  • Maintain confidential and complete compliance records.

Reporting and independence: 

The Officer reports functionally to the Board Risk and Compliance Committee, has direct access to the Committee and its Chairperson, and coordinates administratively with the Managing Director while retaining independent professional judgment.

Qualifications and Experience:

Applicants should have:

  • A Bachelor's Degree in Risk Management, Finance, Accounting, Business Administration, Economics, Law, or a related field.
  • Professional certification in Risk Management, Compliance, Internal Audit, Accounting, or a related field will be an added advantage.
  • At least 3 years of relevant experience in risk management, compliance, internal audit, banking, microfinance, or a related financial institution.
  • Good knowledge of financial sector regulatory and compliance requirements in Rwanda.
  • Strong analytical, reporting, communication and problem-solving skills.
  • High level of integrity, confidentiality, independence, and attention to detail.
  • Proficiency in Microsoft Office applications.

Key Competencies

The successful candidate should demonstrate:

  • Risk identification and assessment skills, Regulatory and policy compliance, Internal control knowledge, Analytical and investigative skills, Report writing and documentation, Effective communication and interpersonal skills, Integrity and professional judgment, Ability to work independently and meet deadlines

How to Apply:

Interested and qualified candidates should submit:

  1. A detailed Curriculum Vitae (CV);
  2. A one page cover letter addressed to the Managing Director
  3. Copies of relevant academic and professional certificates; and
  4. Contact details of at least three professional referees.

Applications should be submitted to recruitment@jalisc.rw no later than [25th September 2026 at 5pm] and only shortlisted candidates will be contact.

Approved by:

NDAKAZA Emmanuel

Managing Director

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