Risk & Compliance Analyst
A challenging and highly visible role responsible for the implementation of regulatory change and investigations of risk compliance issues across the full Wealth suite of products. Potential of permanent role.
The ideal candidate will have 2-3 years' experience in an operational risk, business analyst or compliance role within the advice or super industry.
You will be a subject matter expert for the operational risk framework liaising with multiple stakeholders with a very strong emphasis on problem solving.
A summary of the main tasks include:
- To identify potential risk issues and breaches to the advice business and then raise these concerns with relevant parties in a compelling and constructive manner
- Review and provide detailed impact analysis of legislation and regulatory change
- Provide technical assistance to risk initiatives and projects
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Develop end to end restitution plans and work with Senior Manager to finalise potential payments to clients
As well as a generous market led salary, you will benefit from a variety of employee benefits including reduced private health insurance and a range of flexible work options.
For a confidential discussion please contact Conor McCarthy on 02 8247 5724 or follow the links to apply.
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