**Broad Line 2 Compliance role with a focus on Wealth Management products**:
- **Ample flexibility and support. Hybrid model with 2 days in office and 3 days at home and flexible working arrangements available.**:
- **Long term career progression. Up to $140k base + super + bonus.**
**Overview**:
Global Bank is in search of a dynamic regulatory compliance professional to provide sound compliance and regulatory advice to the Wealth Management business, with a focus on products such as Separately Managed Accounts (SMA), Superannuation and IDPS.
**To be successful for this role, ideally you will have**:
- Proven compliance experience within Wealth Management, or broader FS experience considered (Wealth Management exposure is a must)
- Understanding of Australian Regulatory landscape in a Wealth Management capacity
- Legal background beneficial but not mandatory
- Excellent written and verbal communication skills
**Benefits**:
- Work for a renowned global banking organisation that embraces and values diversity and inclusion
- Access to some of the best banking benefits in the market
- Exposure to senior stakeholders - you can get the opportunity to engage with senior leaders and Board level with the support of your manager
- Work in a flexible environment and hybrid model of 2 days in the office per week
- Flexible working arrangements available to cater to pick ups and drop offs, etc.
- Long term career progression and ability to shape your career and build your brand
**Apply**:
BBBH51916_166917847795373