- Permanent full-time position
- Flexible working locations of Brisbane, Sydney or Melbourne
- Compliance Oversight (2nd line of defence)
What you'll do
- Oversee licensing activities, obligation management and control testing and breach management
- Complete targeted/deep dive reviews on compliance matters and make recommendations on actions required and/or opportunities to improve compliance
- Provide compliance risk related challenge and partner with 1L risk and compliance teams as a trusted advisor and advocate to improve compliance maturity
- Analyse and assess compliance risk data, contributing to regular reporting
- Provide guidance on the impacts of new regulations, legislation, industry codes, and policies
- Identify and recommend improvements to compliance related business processes
- Provide specialist second-line Compliance Oversight and advice across the Insurance and Corporate functions, sharing subject matter expertise on the regulatory environment, risk and compliance frameworks and legislative and code of practice requirements.
- Collaborate with risk and compliance teams across the Group to share insights and promote a culture of continuous improvement
- Strong knowledge of the Insurance regulatory landscape and ability to interpret legislation, regulations, and standards and assess their impact on the organization
- Degree in Business, Law, or a relevant field (desired)
- Qualification and experience in Compliance, Legal, Risk, or Audit preferred
- 4 years of experience in regulatory compliance/risk management or commercial experience in the financial services industry.
- Developed ability to prepare and present concise oral and written reports
- Stakeholder management experience and ability to work effectively with staff at all levels of an organisation.
- Excellent problem solving and analytical skills.
- Knowledge of general risk and compliance practices.
- Ability to recognise, analyse and evaluate business risks and opportunities impacting across diverse but related business areas.