As an Australia & New Zealand Compliance & Operational Risk Associate within our risk management team, you will be tasked with providing support for compliance and operational risk coverage and oversight across Australia and New Zealand.
Job Responsibilities:
- Providing input on regulatory change, compliance projects and issues, including staying abreast of industry news and regulatory developments to facilitate proactive risk identification and mitigation
- Preparing Compliance reporting to Boards, committees and senior management
- Managing compliance incidents, assessment of breaches and regulatory reporting
- Interacting with key stakeholders and regulators on our Compliance program and regulatory requirements
- Preparing and delivering Compliance training and drafting and managing monitoring tasks and reporting
- Assisting in the design, development, implementation and ongoing operation of the Compliance program for Australia and New Zealand
Required qualifications, capabilities, and skills:
- Degree-qualified with at least 3 years of relevant experience in legal, regulatory, compliance or similar roles
- Proficient with Australian prudential and financial services laws and the regulatory obligations that apply to a diverse financial services business
- Experience in Compliance and/or Operational Risk Management Frameworks, including issues and incident management, controls, and compliance assessments
- Independent, analytical thinker with the ability to multi-task, prioritize and thrive in a fast-paced and evolving environment
- Effective influencing skills and ability to drive change and deliver results
- Effective team player and ability to communicate clearly and concisely in a fast-paced environment