Well-regarded Investment Management business looking for a Senior Regulatory & Compliance specialist.
The CompanyLarge, sophisticated Investment Management business looking for a Senior Regulatory & Compliance Analyst to join the team and support the organisation globally.
The Role
Reporting to the Manager, Regulatory Affairs & Compliance, you will be tasked with providing effective oversight of Regulatory & Compliance issues across a broad range of investment teams and business partnering with all divisions.
Key responsibilities include:
- Contribute to best practice strategy to identify Regulatory & Compliance risks associated with marketing activities
- Reviewing Australian regulatory developments relevant to the Group and its compliance and control framework ensuring obligations are met
- Preparation of reporting to domestic and international regulators
- Provide proactive and trusted advice to key stakeholders ensuring engagement & collaboration with the compliance division
The successful candidate will have a tertiary qualification and have experience working in Regulatory risk management & Compliance in a complex Financial Institution. You will have in-depth knowledge of the current regulatory environment across financial services in Australia &/or globally and a proven ability to interpret and implement compliance rules and regulations.
If this sounds like you, please hit ''Apply'' !