Broad Line 2 Compliance role with a focus on Wealth Management products
Ample flexibility and support. Hybrid mode with 2 days in office and 3 days at
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 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:
BBBH51959_166918283462556