* Build your compliance career at a global firm through a broad generalist pathway
* Join a team where you'll be supported by an experienced & well regarded leader
* Step into a team where attitude & cultural fit matter as much as capability
The Opportunity We are working with a global financial services business to appoint a Compliance Analyst. This is a permanent role within a collaborative compliance team that plays a key part in supporting regulatory risk management across the business. You'll start by focusing on conflicts of interest with the opportunity to quickly broaden into wider compliance responsibilities, a clear pathway for professional growth. This role will suit someone who is not just technically capable, but also curious, engaged, and motivated. Our client is looking for a person who wants to learn, enjoys the legislative side of compliance, and values being part of a supportive and high-performing team. Conflicts experience is a plus, but candidates from compliance, AML/CTF, financial crime, legal, or related risk backgrounds who learn quickly are strongly encouraged to apply Key Responsibilities
* Support conflicts of interest and information barrier processes during the initial phase of the role
* Review and assess conflict-related notifications, approvals, and related requests
* Help maintain systems, registers, and controls that support effective compliance management
* Contribute to the ongoing improvement of compliance frameworks, processes, and practices
* Assist with reporting, monitoring, and assurance activity across the compliance function
* Support the development and maintenance of policies, standards, procedures, and controls
* Work with stakeholders across the business to provide clear, practical compliance guidance
* Help identify regulatory and compliance risks and support effective risk management outcomes
* Contribute to team initiatives and projects as the role grows into broader compliance coverage
Skills & Experience
* Around 3+ years of experience in regulatory compliance, financial crime, AML/CTF, legal, or related risk/compliance work
* Financial services experience will be highly regarded
* Conflicts experience is a plus, but not a must
* Ability to interpret legislation, regulation, and policy and apply it in a business setting
* Strong analytical skills and sound judgment
* A collaborative approach and the ability to build trusted working relationships
* Clear written and verbal communication skills
* A genuine interest in compliance and regulation, with a willingness to keep learning
* A keen, eager attitude and strong cultural fit for a team-oriented environment
Benefits
* Challenging, not boring – working with supportive and high calibre colleagues.
* Bring your innovation and creation – actively encourage new ideas and concepts that will generate the returns that retain and attract investors
* Embrace Change with excellent 'on the job' development
* Market competitive remuneration.
* Non-hierarchical and Inclusive – every voice is needed and every voice counts.
* Empowering - hire really good people because your expertise/ ideas/ new ways of thinking are needed
* High performing – an organisation that cuts through and delivers.
* Socially Responsible.
* An overt focus on mental health in the workplace and the underpinning leadership required to create a mentally safe workplace.
* Diversity and Inclusion - A fully formed, multi-dimensional strategy with Board oversight
How to apply If you're a compliance or legal professional who is keen to learn, brings a strong attitude, and wants to build a well-rounded career in financial services compliance, this is a standout opportunity. This role will broaden into wider compliance areas over time, making it an excellent pathway for someone looking to grow into a generalist compliance position. We would love to hear from you. Apply now! For a confidential chat, contact Karen Thorne at Ink Recruitment on +61 (0)420 788873 #SCR-karen-thorne
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