A need has arisen for an experienced professional to join our client's highly regarded Compliance and Regulatory affairs team.
This well known Superannuation business are consistently recognised as leaders in the market and have a reputation for being an employer of choice. In addition to a competitive salary, benefits and flexible working environment, they offer a commitment to your continued career growth an development.
This broad role will suit a Compliance or Regulatory Affairs specialist with a comprehensive understanding of the superannuation regulatory environment. You will manage regulatory notices from regulators and formulate regulatory response strategy, work with project management teams on regulatory change initiatives, provide input on remediation issues and response, work closely with business executives and provide updates to the Board.
The ideal candidate will have a minimum of 10 years experience within Compliance, Regulatory Affairs, Legal or Risk Management within Superannuation or Wealth Management with a comprehensive understanding of all relevant Superannuation laws and regulations including ASIC Regulatory Guides, SIS Act, APRA Prudential Standards, Corporations Act, Privacy Laws and AML/CTF.
For further information on this role or to confidentially apply, please contact Matt Quinn on +61 02 8227 9200or apply directly via the Apply for this job button. Only WORD FORMAT CVs will be accepted.
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