Since its inception, Cashville Investments and Securities Limited has remained steadfast in its mission, leveraging cutting-edge Information Technology systems and a team of young, dynamic, and highly skilled professionals. 

Contact

020-01 293 4770

3rd Floor United Healthcare Building 19, Biaduo Street Off Keffi Street, Off Awolowo Road

info@cashvillesecurities.com

Amos Bello

– Chief Compliance Officer
  • Email:amosb42012@yahoo.com
Bio:

Amos Bello
Chief Compliance Officer | Capital Market Expert | Financial Regulations Specialist

Professional Summary
Amos Bello is an accomplished financial professional with extensive experience in Nigeria’s capital market. With a solid academic background in Economics and Mathematics, he has built a distinguished career in regulatory compliance, risk management, and financial oversight. His expertise has earned him recognition as a Securities and Exchange Commission (SEC) Sponsored Individual, a testament to his credibility and deep understanding of the financial industry’s regulatory framework.

Currently serving as the Chief Compliance Officer at Cashville Investments & Securities Ltd., Amos plays a pivotal role in ensuring that the firm adheres to all regulatory requirements, internal policies, and industry best practices. His ability to navigate complex financial regulations, coupled with his strong analytical skills, has been instrumental in maintaining the integrity and transparency of the organization’s operations.

Beyond his professional achievements, Amos is a dedicated family man. He hails from Kogi State, practices the Christian faith, and is happily married with children. His commitment to excellence extends beyond his career, as he continuously strives to uphold ethical standards and contribute to the growth of Nigeria’s capital market.

Educational Background
B.Sc. Economics – Ahmadu Bello University, Zaria
OND Mathematics – Ahmadu Bello University, Zaria
Professional Experience
Chief Compliance Officer
Cashville Investments & Securities Ltd. (Date-Present)

Oversees the company’s compliance framework, ensuring strict adherence to SEC regulations and industry guidelines.
Develops and implements policies to mitigate risks and maintain regulatory compliance.
Liaises with regulatory authorities, auditors, and stakeholders to uphold transparency and corporate governance.
Conducts compliance training and awareness programs for staff to reinforce best practices.
Compliance Officer
Cashville Investments & Securities Ltd. (Previous Role Before Promotion)

Ensured that all transactions and operations met the legal and ethical standards set by financial regulatory bodies.
Assisted in developing risk management strategies to safeguard the firm’s interests.
Conducted internal audits and regulatory reporting to maintain operational integrity.
Core Competencies
✔ Regulatory Compliance & Risk Management
✔ Securities & Exchange Regulations
✔ Corporate Governance & Ethics
✔ Financial Auditing & Reporting
✔ Internal Control Implementation
✔ Stakeholder & Regulator Engagement

Professional Certifications & Recognition
Securities and Exchange Commission (SEC) Sponsored Individual
Promoted to Chief Compliance Officer at Cashville Investments & Securities Ltd.