We're on the hunt for a Senior Compliance Analyst who knows their way around both Aussie and US financial regulations including SEC. This is a great opportunity to join a high-performing investment team and make your mark in a role that touches every corner of the business—from collaborating with senior leadership to ensuring day-to-day operations are squeaky clean from a regulatory standpoint. This is a part-time role working 2-3 days per week in the Sydney office. What you’ll be doing: Ensuring compliance with ASIC, AFSL, and SEC requirements Spotting compliance risks and advising on solutions Maintaining policies, manuals, and procedures for audit requirements Leading regular reviews to make sure compliance controls actually work Helping prepare and submit reports like Form ADV and Form PF Working with investment and ops teams to implement new regulatory changes Supporting audits and responding to regulatory queries including SEC ones Staying up-to-date on all the latest regulatory developments in AU and the US What we’re looking for: 3 years' experience in a compliance role, ideally within investment or financial services Solid understanding of ASIC and SEC frameworks Familiarity with US regulations Sharp attention to detail, strong communication skills, and a proactive mindset Relevant qualifications in Law, Finance, or similar—RG 146, CFA, or US compliance certs ideal APPLY NOW or email your CV to molly@gowrecruitment.com