Regulatory Affairs Lead
Our financial services firm relies on a robust compliance framework to safeguard customer interests. As Regulatory Affairs Manager, you will play a pivotal role in upholding our company's excellent culture and maintaining our reputation as one of Australia's most trusted brands.
This is a key position reporting directly into the Head of Group Compliance. Your responsibilities will include:
* Providing assurance to boards, committees, and senior executives that customer interests are being appropriately considered in regulatory requirements decision making, reporting, and monitoring across the Group.
* Engaging with industry bodies, regulators, and government personnel to support working relationships that drive objectives.
* Driving Group-wide practices for regulatory affairs considerations.
* Maintaining comprehensive records of regulatory engagement and correspondence.
* Providing expert analysis and advice on proposed material for financial services regulatory reform.
* Managing stakeholders to regulatory response timelines and deliverable quality consistent with good regulatory relations.
* Supporting board and committee reporting as required.
To be successful in this role, you will need:
* Regulatory affairs experience within Banking or Insurance.
* A legal background preferred but not essential.
* Stakeholder management experience.
* The ability to contribute to a positive risk and compliance culture.
We offer a dynamic workplace that values ongoing professional development, promotes on merit, and champions work-life balance.