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About.

We believe that lasting success is built on partnership. That's why our dedicated team works as an extension of yours, committed to building long-term relationships that allow us to truly understand your unique operational landscape.

Through this collaborative approach, we help your organization navigate its compliance journey, fostering good governance and weaving robust risk measures directly into the fabric of your success.

Our strategic vision is to become the trusted and indispensable partner for organizations seeking to master their compliance journey and build a foundation for enduring success.

We see a future where compliance and risk management are not merely regulatory hurdles, but strategic advantages of every successful enterprise.

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Our Team

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LeRoux van Wyk

Senior Compliance Officer

LeRoux is the managing director and founder. He has more than 20 years of experience as an internal and external compliance officer with a special focus on developing processes and systems to manage regulatory risk. 

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Sarina Fouche

Administrator

Sarina is a senior administrator and client relationship manager. She has been with the company for more than 7 years and thrives on personal engagement with clients and requlators,

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Lizelle Conradie

Senior Compliance Officer

 

Lizelle is a senior compliance officer and has been with the company for more than 10 years.

She has a particular attention to detail and ability to research and develop compliance frameworks.

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Nikki Lopes

Accountant

Nikki is the appointed accountant for the company. She has more than 20 years of experience in the financial services industry and manages our daily bookkeeping functions.

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Megan du Toit

Junior Compliance Officer

 

Megan is a junior compliance officer completing her internship.

She has already gained extensive experience in the financial services

industry and specializes in risk management.

Company History.

2012

The Compliance Practice (Pty) Ltd was registered to address a need for bespoke external compliance monitoring services.

2013

We obtain approval as an external compliance practice by the Financial Sector Conduct Authority.

2018

Our focus expands to include regulatory risk management services and we therefore decide to change our name to Etude Risk Management (Pty) Ltd.

2019

We expand our services even more by including support for organizations who wish to manage their company registrations and annual returns

2023

Our team develops a new approach to regulatory risk management through the implementation of a risk management and compliance programme for organizations.

2024

We launch our own online customer portal allowing organizations to manage their own deliverables and gain access to all our resources.

Etude Risk Management (Pty) Ltd is an authorised compliance practice.

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