Vacancy

RISK AND COMPLIANCE MANAGER

At FHL Fund Management Limited, our core values are Integrity, Progressive, Courage and Passion. Our People and Our Values are critical in maximizing unitholders’ wealth through quality investment products that deliver competitive returns, and in doing so maximize our shareholders’ values.

We are now looking for an experienced, committed, and strategic Risk and Compliance Manager to lead the company’s risk and compliance function.

RISK AND COMPLIANCE MANAGER

The role ensures that all business risks are effectively managed, internal controls are robust, and operations comply with applicable laws, the Scheme Deed, FHUT Prospectus and organizational policies. This position reports directly to the General Manager and will act as the principal advisor in providing oversight, governance, and assurance that risks are proactively identified and mitigated.

SOME OF THE KEY RESPONSIBILITIES OF THE ROLE WILL INCLUDE:

  • Manage the implementation of all aspects of the risk function, including implementation of processes, tools and systems to identify, assess, measure, manage, monitor, and reports of risks.
  • Lead Compliance review of business processes in each department (Sales and Marketing, Finance, Registry, Investment) directing compliance issues to appropriate existing channels for assessment and resolution.
  • Ensure compliance with all requirements of RBF, SPX, FRCS, FNPF and other regulators, maintaining an updated Compliance Register.
  • Review and seek Board approval for FHL FML and FHL Stockbrokers Ltd (FHLS) policies in line with Capital Markets Prudential Supervision Policy Statement (PSPS), FHUT Scheme Deed, Trustees Act and Companies Act 2015 Fiji.
  • Develop and manage processes to identify and close internal control gaps that may expose the business to risk.
  • Ensure services are delivered in accordance with Service Provider Agreements.

TO BE CONSIDERED, YOU MUST MEET THE FOLLOWING REQUIREMENTS:

  • Bachelor’s Degree in Commerce, Business Administration, Law, Governance, Fraud, Accounting or Economics or related discipline.
  • Certified RBF Managed Investment Scheme (MIS) Representative License.
  • Certified Risk Professional or equivalent qualification.
  • Minimum 3-5 years of experience in senior risk and compliance management within investment or financial services.
  • Extensive knowledge of governance, compliance, auditing, risk profiling, and internal control management.
  • Proven track record in leading compliance teams and frameworks.
  • Strong analytical and strategic thinking abilities.
  • Excellent communication and stakeholder engagement skills.
  • Exceptional organizational skills, with the ability to prioritize workloads and deliver results under pressure.
  • High standards of integrity, confidentiality, and commitment.

APPLICATION PROCESS

Interested candidates must apply using the Apply Now button below by no later than 5pm Wednesday, 22nd July 2026.

Only shortlisted applicants who meet the desired requirements will be contacted.

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