I am exclusively partnering with a leading specialist private markets investment firm with a global team delivering sustainable growth across private equity, real assets, and private credit.
About the Role
Reporting to the Head of Risk & Compliance, this role supports the effective functioning of the enterprise risk and compliance framework by providing hands‐on technical capability across risk management, regulatory compliance and assurance. The role focuses on execution, analysis and oversight activities, and is suited to an experienced risk professional who can operate independently, work collaboratively with stakeholders, and provide high‐quality risk and compliance support across the business.
Key Responsibilities
* Support Australian and international regulatory compliance, including regulator engagement and monitoring regulatory change
* Provide risk and compliance input across investment mandates and ongoing mandate monitoring
* Contribute to the Enterprise Risk Management framework, including risk assessments, incident and change management, and policy governance
* Deliver regulatory and operational risk assurance across the investment lifecycle
* Participate in investment due diligence, governance forums, and third‐party assurance (administrators, custodians and key service providers)
* Support the design and enhancement of GRC systems and leverage data analysis to drive meaningful risk insights
Ideal Background
* 10+ years' risk experience within financial services
* Background in risk consulting or investment management preferred
* Strong knowledge of regulatory frameworks, operational risk and investment structures
* Experience operating across multiple jurisdictions
This is a broad, hands‐on role offering exposure across compliance, enterprise risk, assurance and governance within a sophisticated private markets platform. Please apply in confidence to learn more.
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