Tamra Financial Company
GRC Specialist
Jeddah
Internal Audit
Full Time
About the company
Tamra Capital is a Saudi investment company licensed by the Capital Market Authority to provide financial advisory services on August 26, 2020, and to provide investment management services on January 14, 2021.
We empower individuals by granting them direct access to local and global investment funds in simple and automated steps through a secured platform that removes the burden of investing and ensures accuracy.
We help you get the most out of your money by investing in Shariah-compliant Exchange-Traded Funds (ETFs). Investing is generally limited to a small group of individuals who have the know-how and experience.
Tamra Capital acquired Capital Market Authority approval’s to start operations on November 23, 2021. We launched our investment platform to make investing available for everyone, anywhere through a state-of-the-art platform that makes it much easier to invest, backed by investment experts with a deep experience in the entire process of investing.
The Compliance & GRC Officer is responsible for supporting the organization’s governance, risk management, and compliance framework. This role ensures that business operations align with legal, regulatory, and internal policy requirements, while proactively identifying risks and strengthening organizational resilience.
Governance
Support the implementation of governance frameworks, policies, and procedures.
Assist in preparing reports and presentations for senior management and the Board.
Monitor adherence to corporate governance standards.
Risk Management
Contribute to the development and implementation of the Enterprise Risk Management (ERM) framework.
Identify, assess, and report risks across business functions.
Assist in business continuity planning and risk mitigation activities.
Compliance
Monitor and ensure compliance with applicable laws, regulations, and internal policies.
Conduct compliance reviews and prepare documentation for audits and regulatory inspections.
Develop and deliver compliance awareness and training programs.
Track regulatory changes and advise on potential impacts.
General Duties
Prepare periodic compliance and risk reports for management.
Support internal investigations and incident reporting processes.
Collaborate with different departments to ensure risk and compliance integration.
Bachelor’s degree in Law, Business Administration, Finance, Risk Management, or related field.
3–7 years of experience in compliance, audit, risk management, or governance.
Professional certifications (e.g., CCEP, CRISC, CIA, CAMS, or equivalent) preferred.
Knowledge of risk and compliance frameworks, laws, and regulations.
Strong analytical, reporting, and problem-solving skills.
Excellent communication and interpersonal skills.
High ethical standards and attention to detail.
Risk & Compliance Knowledge
Analytical Thinking
Ethical Judgment
Communication & Reporting Skills
Attention to Detail
Proactive Problem-Solving
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