Senior Risk and Compliance Officer
2026-06-17T20:00:20+00:00
Ubudasa Sacco Bugesera (USB)
https://cdn.greatrwandajobs.com/jsjobsdata/data/employer/comp_4298/logo/Ubudasa%20Sacco%20Bugesera%20(USB).jpeg
https://www.greatrwandajobs.com/jobs
FULL_TIME
Kigali
Kigali
00000
Rwanda
Financial Services
Accounting & Finance, Business Operations, Management, Legal
2026-07-01T17:00:00+00:00
8
Background
Ubudasa Sacco Bugesera (USB) is a District Savings and Credit Cooperative (D-SACCO) established following the consolidation of fifteen Umurenge Sacco’s operating within Bugesera District, in accordance with the Government of Rwanda SACCO consolidation framework. USB is duly registered under RCA Certificate No. RGDG0133324 and licensed by the National Bank of Rwanda (BNR).
In accordance with Law N° 072/2021 of 05/11/2021 governing Deposit-Taking Microfinance Institutions, USB is authorized to carry out microfinance activities in the Republic of Rwanda.
To achieve its mission and strengthen institutional efficiency, USB is looking externally as well as internally for a qualified, competent, committed, proactive, and self-motivated individual to occupy the following positions:
JOB ADVERT - SENIOR RISK AND COMPLIANCE OFFICER (1 POSITION)
To strengthen institutional governance, internal control systems, compliance, and risk management, USB wishes to recruit internally and externally one (1) competent, committed, professional, experienced, and self-motivated Senior Risk and Compliance Officer to join the institution.
Reporting Line
The Senior Risk and Compliance Officer shall work under the supervision and guidance of the Risk Board Committee, with:
- A functional reporting line to the Supervisory Board/Audit Committee; and
- An administrative reporting line to the Managing Director.
Key Duties and Responsibilities
Under the supervision and guidance of the Risk Board Committee, the Senior Risk and Compliance Officer shall perform the following duties and responsibilities:
- Work diligently on assigned tasks and deliver results within the required timelines;
- Comply with instructions issued by the employer or authorized representatives;
- Ensure compliance with applicable laws, regulations, policies, and decisions governing cooperatives and microfinance institutions;
- Ensure proper custody and management of equipment assigned for work purposes;
- Respect working days, working hours, and professional conduct standards;
- Maintain confidentiality of institutional information and work-related matters;
- Provide required identification and administrative documents before commencement of employment;
- Adhere to the principles and rules governing USB business activities;
- Develop and update the institution’s risk management strategy;
- Establish and regularly review the risk and capital inventory;
- Prepare and submit compliance reports to Management, Supervisory Board, Audit Committee, and BNR as required;
- Conduct risk assessments, risk measurement, and stress testing, particularly related to liquidity shocks;
- Define and monitor early warning indicators for institutional risks;
- Propose appropriate risk mitigation and risk steering instruments;
- Prepare risk management reports identifying major risks, mitigation measures, and recommendations;
- Support the implementation and strengthening of internal control systems;
- Continuously improve policies, procedures, practices, and control mechanisms to effectively manage institutional risks;
- Investigate potential violations of compliance policies, laws, regulations, and internal procedures;
- Advise Management on compliance with applicable laws, regulations, directives, rules, and standards governing cooperatives and financial institutions;
- Support Management in effectively managing institutional risks;
- Conduct compliance awareness and training sessions for staff;
- Prepare contingency plans for liquidity risk management;
- Perform any other duties assigned by the Board of Directors, Supervisory Board, Audit Committee, or Managing Director in accordance with applicable laws and regulations.
Qualifications and Experience Required
Applicants must meet the following requirements:
- Bachelor’s Degree in Accounting, Finance, Auditing, Business Administration,
- A Master’s Degree in Accounting, Finance, Auditing, Business Administration is highly preferred;
- Candidates with First Class or Upper Division qualifications are highly preferred;
- Minimum of Three (3) years of experience in Risk and Compliance within microfinance institutions, SACCOs, or banking institutions; or
- Two (2) years of relevant experience for candidates holding a Master’s Degree;
- Experience must be supported by certificates of service or recommendation letters from previous employers;
- Professional certification in Risk Management, Compliance, Internal Audit, or related field is an added advantage;
- Applicants must not be above 40 years of age.
- Work diligently on assigned tasks and deliver results within the required timelines;
- Comply with instructions issued by the employer or authorized representatives;
- Ensure compliance with applicable laws, regulations, policies, and decisions governing cooperatives and microfinance institutions;
- Ensure proper custody and management of equipment assigned for work purposes;
- Respect working days, working hours, and professional conduct standards;
- Maintain confidentiality of institutional information and work-related matters;
- Provide required identification and administrative documents before commencement of employment;
- Adhere to the principles and rules governing USB business activities;
- Develop and update the institution’s risk management strategy;
- Establish and regularly review the risk and capital inventory;
- Prepare and submit compliance reports to Management, Supervisory Board, Audit Committee, and BNR as required;
- Conduct risk assessments, risk measurement, and stress testing, particularly related to liquidity shocks;
- Define and monitor early warning indicators for institutional risks;
- Propose appropriate risk mitigation and risk steering instruments;
- Prepare risk management reports identifying major risks, mitigation measures, and recommendations;
- Support the implementation and strengthening of internal control systems;
- Continuously improve policies, procedures, practices, and control mechanisms to effectively manage institutional risks;
- Investigate potential violations of compliance policies, laws, regulations, and internal procedures;
- Advise Management on compliance with applicable laws, regulations, directives, rules, and standards governing cooperatives and financial institutions;
- Support Management in effectively managing institutional risks;
- Conduct compliance awareness and training sessions for staff;
- Prepare contingency plans for liquidity risk management;
- Perform any other duties assigned by the Board of Directors, Supervisory Board, Audit Committee, or Managing Director in accordance with applicable laws and regulations.
- Risk Management
- Compliance
- Internal Control Systems
- Regulatory Compliance
- Risk Assessment
- Risk Measurement
- Stress Testing
- Liquidity Risk Management
- Policy Development
- Procedure Development
- Auditing
- Financial Analysis
- Reporting
- Training
- Communication
- Problem-Solving
- Attention to Detail
- Bachelor’s Degree in Accounting, Finance, Auditing, Business Administration
- Master’s Degree in Accounting, Finance, Auditing, Business Administration (highly preferred)
- First Class or Upper Division qualifications (highly preferred)
- Professional certification in Risk Management, Compliance, Internal Audit, or related field (added advantage)
JOB-6a32fcd4e2b9d
Vacancy title:
Senior Risk and Compliance Officer
[Type: FULL_TIME, Industry: Financial Services, Category: Accounting & Finance, Business Operations, Management, Legal]
Jobs at:
Ubudasa Sacco Bugesera (USB)
Deadline of this Job:
Wednesday, July 1 2026
Duty Station:
Kigali | Kigali
Summary
Date Posted: Wednesday, June 17 2026, Base Salary: Not Disclosed
Similar Jobs in Rwanda
Learn more about Ubudasa Sacco Bugesera (USB)
Ubudasa Sacco Bugesera (USB) jobs in Rwanda
JOB DETAILS:
Background
Ubudasa Sacco Bugesera (USB) is a District Savings and Credit Cooperative (D-SACCO) established following the consolidation of fifteen Umurenge Sacco’s operating within Bugesera District, in accordance with the Government of Rwanda SACCO consolidation framework. USB is duly registered under RCA Certificate No. RGDG0133324 and licensed by the National Bank of Rwanda (BNR).
In accordance with Law N° 072/2021 of 05/11/2021 governing Deposit-Taking Microfinance Institutions, USB is authorized to carry out microfinance activities in the Republic of Rwanda.
To achieve its mission and strengthen institutional efficiency, USB is looking externally as well as internally for a qualified, competent, committed, proactive, and self-motivated individual to occupy the following positions:
JOB ADVERT - SENIOR RISK AND COMPLIANCE OFFICER (1 POSITION)
To strengthen institutional governance, internal control systems, compliance, and risk management, USB wishes to recruit internally and externally one (1) competent, committed, professional, experienced, and self-motivated Senior Risk and Compliance Officer to join the institution.
Reporting Line
The Senior Risk and Compliance Officer shall work under the supervision and guidance of the Risk Board Committee, with:
- A functional reporting line to the Supervisory Board/Audit Committee; and
- An administrative reporting line to the Managing Director.
Key Duties and Responsibilities
Under the supervision and guidance of the Risk Board Committee, the Senior Risk and Compliance Officer shall perform the following duties and responsibilities:
- Work diligently on assigned tasks and deliver results within the required timelines;
- Comply with instructions issued by the employer or authorized representatives;
- Ensure compliance with applicable laws, regulations, policies, and decisions governing cooperatives and microfinance institutions;
- Ensure proper custody and management of equipment assigned for work purposes;
- Respect working days, working hours, and professional conduct standards;
- Maintain confidentiality of institutional information and work-related matters;
- Provide required identification and administrative documents before commencement of employment;
- Adhere to the principles and rules governing USB business activities;
- Develop and update the institution’s risk management strategy;
- Establish and regularly review the risk and capital inventory;
- Prepare and submit compliance reports to Management, Supervisory Board, Audit Committee, and BNR as required;
- Conduct risk assessments, risk measurement, and stress testing, particularly related to liquidity shocks;
- Define and monitor early warning indicators for institutional risks;
- Propose appropriate risk mitigation and risk steering instruments;
- Prepare risk management reports identifying major risks, mitigation measures, and recommendations;
- Support the implementation and strengthening of internal control systems;
- Continuously improve policies, procedures, practices, and control mechanisms to effectively manage institutional risks;
- Investigate potential violations of compliance policies, laws, regulations, and internal procedures;
- Advise Management on compliance with applicable laws, regulations, directives, rules, and standards governing cooperatives and financial institutions;
- Support Management in effectively managing institutional risks;
- Conduct compliance awareness and training sessions for staff;
- Prepare contingency plans for liquidity risk management;
- Perform any other duties assigned by the Board of Directors, Supervisory Board, Audit Committee, or Managing Director in accordance with applicable laws and regulations.
Qualifications and Experience Required
Applicants must meet the following requirements:
- Bachelor’s Degree in Accounting, Finance, Auditing, Business Administration,
- A Master’s Degree in Accounting, Finance, Auditing, Business Administration is highly preferred;
- Candidates with First Class or Upper Division qualifications are highly preferred;
- Minimum of Three (3) years of experience in Risk and Compliance within microfinance institutions, SACCOs, or banking institutions; or
- Two (2) years of relevant experience for candidates holding a Master’s Degree;
- Experience must be supported by certificates of service or recommendation letters from previous employers;
- Professional certification in Risk Management, Compliance, Internal Audit, or related field is an added advantage;
- Applicants must not be above 40 years of age.
Work Hours: 8
Experience in Months: 36
Level of Education: bachelor degree
Job application procedure
Interested in applying for this job? Click here to submit your application now.
Applicants must submit the following documents:
- Application letter addressed to the Chairperson of the Board of Directors.
- Updated Curriculum Vitae (CV) with at least three (3) professional referees and their contact details.
- Copies of certified academic certificates.
- Copy of National ID.
- Certificates of service rendered or previous employment certificates proving relevant experience.
Applications must be submitted in soft copy as one single combined PDF document
The subject must clearly indicate the position applied for: “Application for .............................. Position.”
Deadline for submission: 1st July, 2026 at 4:00 PM.
Late applications will not be accepted.
Only shortlisted candidates will be contacted for the next stage of the recruitment process.
All Jobs | QUICK ALERT SUBSCRIPTION