As a key professional in our Business Compliance Team, you will play a pivotal role in providing compliance advice to a global asset manager.
Key Responsibilities
You will be responsible for supporting the Private Markets business, interacting with stakeholders across transactions and enterprise teams to ensure seamless collaboration.
Your duties will include reviewing marketing materials, including fund offering documents, and managing regulatory inquiries to maintain compliance standards.
You will also monitor and test key controls and processes, and draft policies and procedures to ensure optimal operational efficiency.
Requirements
* Prior experience in financial services, preferably in asset management.
* Understanding of Compliance Risk Management within the Australian environment.
* Excellent stakeholder management skills to foster effective relationships.
* A practical problem-solving approach and detail-oriented mindset to tackle complex challenges.
* Strong communication skills to convey critical information effectively.
About Our Team
We are part of an independent Risk Management Group responsible for review, challenge, oversight, monitoring, and reporting on Macquarie's material risks. Our goal is to anticipate and manage today's and tomorrow's risks through proactive measures.