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Regulatory Compliance Specialist

2 weeks ago


Sydney, New South Wales, Australia beBeeRiskAssessment Full time $80,000 - $150,000

Compliance Expert

This role presents a unique opportunity to leverage your expertise in compliance and expand your skillset in a highly regulated environment across multiple business areas.

Key Responsibilities:
  1. Support various teams with their compliance inquiries, providing expert advice and guidance as needed.
  2. Collaborate with internal teams to ensure ongoing compliance with regulatory requirements and international standards, driving process improvements and best practices.
  3. Update compliance management plans, including regulatory changes, policies, plans, training, and monitoring to maintain the highest level of compliance.
  4. Work closely with the Compliance Assurance Officer to monitor control assurance testing plans, identifying areas for improvement and implementing corrective actions.
  5. Compile compliance reports and updates for stakeholders, ensuring timely and accurate communication.
  6. Conduct compliance assessments and risk obligation reviews, analyzing results and recommending strategic solutions.
  7. Carry out periodic risk assessment reviews, staying ahead of emerging risks and developing proactive strategies.
  8. Provide assistance in delivering compliance and risk frameworks, working collaboratively with cross-functional teams.
  9. Manage risk incident and remediation processes, minimizing disruption and maintaining business continuity.
  10. Understand business drivers and offer support to manage risk, fostering a culture of compliance and excellence.
  11. Maintain multiple policies and registers, ensuring accuracy and completeness.
  12. Review key policies and procedures, drafting new ones as needed to stay up-to-date with regulatory requirements.
  13. Prepare regulatory filings, meeting deadlines and ensuring submission accuracy.
  14. Interact with internal and external stakeholders, building strong relationships and trust.
Requirements:
  • At least 5 years of experience in financial services and compliance, with a proven track record of success.
  • Experience interacting with regulators is highly valued, with a deep understanding of regulatory requirements and expectations.
  • Tertiary qualification in Law, Commerce, or Accounting, demonstrating a strong foundation in compliance principles.
  • Understanding of the financial services industry in the USA, Australia, and Canada, with knowledge of local regulations and market trends.
  • Strong analytical skills, with the ability to analyze complex data and drive strategic insights.
  • Excellent communication and collaboration skills, with the ability to work effectively with diverse stakeholders.
  • Ability to multitask and prioritize, managing competing demands and deadlines.