Job Description
In this role you will be responsible for the day-to-day execution and management of the Compliance framework, and the successful implementation of a fit-for-purpose, risk-based approach across the business. Your delivery of the Compliance framework will align with the fund’s risk profile, support Compliance across the business, and be supported by practical advice and insightful reporting.
As a leader, you will be known for your ability to influence, empower and collaborate with your team and colleagues. You will demonstrate initiative and commercial acumen as you act with integrity when engaging with Senior Management and Board Members.
Minimum of 5 years’ working experience and demonstrated skills from a Compliance in Superannuation or relevant Professional Services environment is essential, and a broader understanding of the Australian Financial Services arena will be useful. Relevant qualifications of a Bachelor’s in Law, Business, Finance or Economics, or a Diploma in Compliance or Risk will be highly regarded.
As a key member of this newly created team you will be able to thrive in an environment of change. If you have an appetite for continuous improvement and open to the challenges that assists in shaping the culture of a evolving organisation, then we would love to hear from you. This is a great opportunity to connect with stakeholders at all levels, however does not want to manage a team. You will be joining a team of peers, focused on supporting each other to drive best practice regulatory compliance and risk strategies at all levels of the business.
To be considered, please submit your resume and cover letter (Word format) by selecting the “apply now” function. Confidential enquiries can be made to Dawn Peppin, Client Partner on 07 3305 5800.