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Compliance Manager/Senior Manager

Job description

Role Overview


The role encompasses all regulatory and compliance obligations applicable, including licensee obligations (AFSL and ACL), Anti Money Laundering/Counter Terrorist Financing, Privacy, APRA Prudential Standards and the Community Owned Banking Code of Practice requirements. The role is also a key component of second line accountability in managing the compliance program.

  • Enhancing and implementing the compliance framework and associated transformation program.
  • Providing timely and risk-based compliance advice to the business
  • Provide support to the Regulatory Affairs function as required.
  • Providing insightful and impactful reporting to contribute to the CRO and team reporting to Executive Management and Board on compliance matters.

Skills & Expereince

  • Significant experience in compliance management leadership roles within a financial services environment.
  • Strong understanding and knowledge of applicable legislative and regulatory environment & current compliance procedures and practices.
  • Outcomes focused leader with strong people leadership skills, an ability to develop a high performing team, work collaboratively with peers and influence change.
  • Demonstrated ability to work on unstructured tasks, be inquisitive, and respectfully challenge to drive commercial solutions.
  • Strong interpersonal skills including a high level of negotiation and influencing skills.

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