
Risk Advisory Lead
16 hours ago
**Risk Advisory Lead - Investments**
**What can you expect?**
- Providing Line 2 oversight of the Investments business in the Pacific Zone (covering Australia and New Zealand)
- Partnering with Line 1 Investments Risk and Compliance Leader to contribute to the overall risk profile of the Group and drive uplifts as required
- Supporting the execution of strategic priorities and championing continuous improvement initiatives
**What is in it for you?**
At Mercer, we recognise that our most important asset is our people. We offer benefits and programs that support career development such as professional development support, exam and study assistance and global rotation opportunities which will support and nurture you with every opportunity to reach your full potential.
We also recognise the value of healthy, happy colleagues and promote a culture of care and wellbeing, offering benefits such as flexible working and much more
- Flexible work arrangements
- Leading training and development program
- Professional environment where your career path really matters and is supported in our global organisation
- Great team environment with energetic and supportive colleagues
- Genuine work life balance
**We will count on you to**:
- Maintain oversight of material issues in the Investments business and drive commercially sensible solutions in conjunction with the Line 1 Investments Risk and Compliance Leader.
- Drive Compliance Obligations implementation within the Investments business.
- Actively ensure new regulatory trends and requirements are identified and work in partnership with the Line 1 Investments Risk and Compliance Leader to implement necessary changes.
- Drive closure of open internal and external audit items in partnership with the Line 1 Investments Risk and Compliance Leader.
- Implement group wide policies and procedures, relevant for the Investments business, in conjunction with the Line 1 Investments Risk and Compliance Leader.
- Maintain oversight of assessment of new business and business change proposals as they relate to the provision of financial product advice.
- Participate in the execution of strategic priorities and champion continuous improvement initiatives.
- Support and mentor team members within the Line 2 Risk and Compliance team.
- Provide training to promote Mercer’s risk and compliance culture.
**What you need to have**:
- At least 10 years’ experience in funds management and/or financial services.
- Strong understanding of the regulatory landscape and financial services laws.
- Solid working knowledge of Managed Investment Schemes, Risk Management Principles, Corporations Act and ASIC Regulatory Guides.
- Proactive individual with risk awareness - demonstrates a good understanding of compliance issues and implements work practices that minimize operational and reputational risk.
- Advanced level interpersonal skills, written and verbal communication.
- Commercially minded with a confident and solutions-based approach.
- Ability to develop and maintain strong stakeholder relationships and work collaboratively.
**About us**:
Marsh McLennan is committed to embracing a diverse, inclusive and flexible work environment. We aim to attract and retain the best people regardless of their sex/gender, marital or parental status, ethnic origin, nationality, age, background, disability, sexual orientation, gender identity or any other characteristic protected by applicable law.
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