We're committed to building a stronger, more client-focused organisation. This role offers the opportunity to make a meaningful impact by strengthening how we manage obligations and respond to change.
Requirements
- Degree in Business/Commerce, Law, or related field (postgraduate studies in Investments, Advice, or Superannuation highly regarded).
- Proven track record in risk and compliance functions across complex financial services organisations.
- Strong knowledge of compliance frameworks and Australian regulatory requirements, including superannuation laws and prudential standards.
- Proven ability to influence, embed change, and drive regulatory compliance across people, processes, and systems.
- Strong written communication skills with attention to detail.
- Excellent analytical skills and the ability to interpret complex problems quickly and clearly.
- Experience working in multi-sector businesses undergoing transformation and remediation.
- Collaborative approach, with the ability to engage effectively with stakeholders across all levels.
Benefits
- Unclear, but implies good compensation and benefits for a senior role