Senior Compliance Supervisor

Pride Bank Ltd

Employer: Pride Bank Ltd
Job Type: Full-Time
Industry: Finance
Category: Accounting & Finance
Location: Kampala, Uganda (Note: Tanzania mention removed for clarity, unless the role covers both countries)
Application Deadline: Thursday, July 31, 2025
Date Posted: Wednesday, July 16, 2025
Base Salary: Not Disclosed
Reports To: Compliance Manager
Work Hours: 8 hours per day

About Pride Bank Ltd

Pride Bank Ltd is a fast-growing financial institution committed to fostering financial inclusion and responsible banking practices. We place high value on integrity, accountability, and regulatory compliance. Our team is driven by a mission to provide accessible, innovative, and secure financial solutions to individuals and businesses across the region.

Job Overview

We are looking for a highly skilled and proactive Senior Compliance Supervisor to join our Compliance Department. The ideal candidate will play a critical role in ensuring Pride Bank’s operations, products, and services comply with applicable laws, regulations, internal policies, and best practices. The Senior Compliance Supervisor will be responsible for conducting compliance assessments, supporting internal teams in adhering to legal obligations, and minimizing the risk of regulatory breaches.

Key Responsibilities

  • Conduct periodic compliance reviews across various departments and operations to assess adherence to regulatory and internal requirements.

  • Identify compliance gaps and provide actionable recommendations to management.

  • Offer expert advice on the implications of new or updated legislation affecting Pride Bank’s operations and assist in aligning policies accordingly.

  • Collaborate with departments to ensure timely and complete submission of mandatory regulatory reports.

  • Participate in the development, implementation, and ongoing enhancement of the Compliance Risk Management Framework and Monitoring Plan.

  • Conduct compliance due diligence for new product launches, ensuring regulatory risks are identified and mitigated.

  • Prepare and present detailed compliance reports to the Compliance Manager and other stakeholders.

  • Lead compliance training initiatives to promote a culture of compliance awareness across the organization.

  • Monitor internal controls, policies, and procedures to ensure they reflect current legal and regulatory requirements.

  • Actively engage with internal audit and risk management functions to support enterprise-wide risk mitigation efforts.

Minimum Qualifications, Skills & Experience

  • A Bachelor’s degree in Accounting, Business Administration, Statistics, Commerce, or a related field.

  • At least 4 years of experience in a compliance-related role, preferably in the financial services sector.

  • Strong analytical and research skills, with the ability to interpret legislation and regulatory trends.

  • Excellent written and verbal communication skills with a flair for reporting and documentation.

  • Strong people management and interpersonal skills.

  • Proven ability to analyze data and develop practical, compliant solutions.

  • Must have 2 principal passes at A’ level and at least a credit/pass in Mathematics and English at O’ level.

Preferred Competencies (Added Advantage)

  • Professional certification in Compliance, Risk Management, or Internal Audit (e.g., ICA, CRCM, CCO, or similar).

  • Working knowledge of AML/CFT regulations.

  • Familiarity with digital compliance tools or platforms.

To apply for this job please visit www.pridebank.co.ug.

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