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CIS Supervision Analyst

Securities and Exchange Commission of Zimbabwe Source Verified

Full Time
Location
Harare
Application Deadline
Jan 20, 2026

Job Description

• To undertake Prudential and Market Conduct Supervision and develop legislative frameworks to cover CIS Funds and Asset managers.

Key Responsibilities:
Drafting prudential risk-based supervision policies, manuals, and regulatory
frameworks for CIS and asset management in line with market trends.
• Conducting market supervision activities and inspection programs to ensure
regulatory compliance.
• Drafting prudential inspection reports and recommending appropriate enforcement
actions.
• Assessing licensees' risk profiles, internal control systems.
• Assess licensees’ risk policies and procedures in terms of their adequacy and
alignment to the SECZ and market standards
• Conducting stress tests and drafting comprehensive risk assessment reports.
• Designing training materials and conducting training sessions for CIS and asset
managers.
• Conducting investigations into market abuse cases and investor complaints.
• Drafting and issuing corrective measures and orders based on licensee risk profiles.
• Proposing strategies to detect market malpractices and securities law breaches.

Requirements

Bachelor’s degree in Commerce (Accounting, Banking and Finance, Financial
Engineering) Risk Management, Statistics, or a related field.
• At least two (2) years of relevant experience in financial services, capital markets, or
risk management.
• Sound knowledge of prudential supervision, market conduct, and regulatory
frameworks.

Responsibilities

Drafting prudential risk-based supervision policies, manuals, and regulatory
frameworks for CIS and asset management in line with market trends.
• Conducting market supervision activities and inspection programs to ensure
regulatory compliance.
• Drafting prudential inspection reports and recommending appropriate enforcement
actions.
• Assessing licensees' risk profiles, internal control systems.
• Assess licensees’ risk policies and procedures in terms of their adequacy and
alignment to the SECZ and market standards
• Conducting stress tests and drafting comprehensive risk assessment reports.
• Designing training materials and conducting training sessions for CIS and asset
managers.
• Conducting investigations into market abuse cases and investor complaints.
• Drafting and issuing corrective measures and orders based on licensee risk profiles.
• Proposing strategies to detect market malpractices and securities law breaches.

How To Apply

Application letters with C. V.s to be e-mailed to recruitment@seczim.co.zw with the position being applied for clearly stated in the email subject. These should reach us NOT LATER THAN 20. JANUARY 2026. N/B Only shortlisted candidates will be responded to.

Quick Info
Category
Accounting
Posted
1 day, 13 hours ago
Last Updated
15 hours, 20 minutes ago
Skills Required
Accounting Analytical Skills Asset Management Attention to Detail Bachelor's Degree Banking Communication Compliance Data Analysis Degree Engineering Finance Investigations Law Management Microsoft Excel Problem Solving Regulatory Compliance Report Writing Risk Assessment Risk Management Technical Drafting Training

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