Ronel has 7 year's experience as Compliance Officer.
She started her career in 1997 at Cahn Shapiro as registration clerk.
She was later appointed by SMK as registration clerk.
During her employment with BoE Securities (later known as Nedcor Securities)
she gained a wealth of knowledge in settlements and corporate actions.
In 2004 she became the Compliance Officer of Nedcor Securities.
She was later appointed as the Head of Operations where she managed
all operational and operational compliance functions for the stockbrokers
(Nedgroup and Syfrets Securities). In 2014 she joined Avior Capital
Markets where is was appointed as the Compliance Officer for equities,
bonds, derivatives and IRC Markets. She was also the Money Laundering
Officer for Avior Capital Markets. Ronel holds a N4 Personnel Management
qualification. The has completed her JSE Settlement Officer, JSE Compliance Officer,
JSE Trader, Safex Compliance Officer, Bond and Derivatives Market Exams through SAIFM.
She also holds a NQ5 higher diploma in banking services.