Key role in leading a team to ensure regulatory compliance and risk management across the bank. Responsible for guiding business with expert advice on financial services and credit laws, supporting compliance assessments, monitoring risks and incidents, and maintaining alignment with internal policies and values.
Job Description
* Lead a team of compliance professionals to implement effective solutions for regulatory requirements.
* Develop and maintain knowledge of compliance regulations and emerging trends.
* Collaborate with senior leadership to drive strategic objectives and embed compliance roles within the organization.
* Assist in reviewing and implementing regulatory changes, including policy updates, system modifications, training, and impact assessments.
Required Skills and Qualifications
* Strong understanding of Line 1 compliance and/or risk management principles.
* Proven experience in retail banking or financial services, with a focus on compliance and risk.
* Ability to balance technical compliance work with strategic thinking and leadership skills.
* Excellent communication and presentation skills, with the ability to create detailed reports and present insights to stakeholders.
Benefits
* Flexible working arrangements and hybrid model.
* Enhanced salary with discounts on banking and shopping.
* Opportunities for career advancement through training and project work.
* Competitive leave benefits and employee assistance programs.
About Us
Australia's leading mutual bank, serving over 700,000 members and committed to delivering positive change through banking.