Senior Manager, Line 2 Compliance
We are seeking a Senior Manager to provide compliance advice and oversight for Macquarie's Central Services Groups.
About the Role
In this role, you will engage in and advise on the implementation of regulations impacting various regimes, including market integrity, OTC derivatives transaction reporting, client money, payment and settlement, margining and collateral management, regulatory record keeping, resilience and regulatory outsourcing.
* Provide compliance advice and conduct product and business reviews
* Manage incident and issue resolution
* Oversight, monitoring and training for regulatory regimes and frameworks
About You
To be successful in this role, you will need:
* Demonstrable experience in Compliance or Risk Management gained with the Banking/Financial Services Industry
* Tertiary qualifications in Law, Finance, Commerce or similar discipline
* Strong written and verbal communication skills
* Ability to proactively identify and analyse problems and propose viable solutions
* Excellent interpersonal skills and stakeholder management skills, with experience engaging with senior stakeholders
About Our Team
The Risk Management Group is an independent, centralised function responsible for reviewing and challenging risks across Macquarie. Our team is dedicated to managing the risks of today and anticipating those of tomorrow.
Our Commitment to Diversity, Equity and Inclusion
We are committed to fostering a diverse, equitable and inclusive workplace. We welcome people from all backgrounds and aim to provide reasonable adjustments to individuals who may need support during the recruitment process.