Regulatory Compliance Expert
We are seeking a skilled Regulatory Compliance Expert to join our Operations team. This role will be based in Sydney or Melbourne and involves working at least three days a week in the office.
About the Role
This is a hybrid role that requires monitoring and analyzing regulatory changes impacting the superannuation industry. The successful candidate will conduct impact assessments to evaluate implications for operations, products, and compliance obligations.
* Collaborate with Line 1 teams and facilitate communication among stakeholders to ensure alignment on regulatory requirements and expectations.
* Maintain regulatory change registers and prepare reports for senior management and governance committees.
* Identify opportunities for process improvements related to regulatory change management, ensuring ongoing compliance and efficiency.
* Stay informed about industry trends and changes in the regulatory landscape to proactively manage compliance and risk.
Requirements
The ideal candidate will have 3-5 years of experience in regulatory change management, compliance, or risk management within the superannuation or financial services industries. They must possess a strong understanding of superannuation business activities, products, and associated regulations, including APRA guidance.
* Excellent analytical and communication skills, with the ability to convey complex regulatory concepts clearly.
What We Offer
We help you be your best through professional development opportunities, interesting work, and supportive leaders. Our vibrant and inclusive culture enables you to work with talented colleagues to create new solutions and have an impact for colleagues, clients, and communities. With a range of career opportunities and benefits to enhance your well-being, we invite you to apply for this exciting role.