Compliance & Risk (Banking & Financial Services)This leading residential Mortgages and Asset Finance organisation has risen above competitors in a competitive market over the last few years, implementing many key changes to become the market leader in its sector. Reporting to the Head of Legal & Risk, you will be part of a dynamic team of like-minded professionals. This role has plenty of scope to grow your compliance and legally focused career within the lucrative residential Mortgages and Asset Finance markets.This role will utilize your compliance background to conduct, train, and manage compliance within the company.Responsibilities include:Manage the group's compliance management framework.Perform activities including training and managing the group's ACL and AFSL licenses.Assess incidents and breaches and report when required.Manage regulatory engagements with regulators including ASIC and authorities.Manage regulatory change and ensure compliance with all obligations.Prepare and present reports on compliance-related matters to management.Key to this role will be your ability to work in an operational and compliance environment, collaborating closely with key stakeholders and being a self-starter. This is an opportunity to use your compliance background, preferably from within the residential Mortgages, Mortgage Broking, or Asset Finance sectors.The successful candidate will have a strong understanding of consumer credit laws, excellent written and communication skills, the ability to work under your own initiative, and a results-driven mindset. A knowledge base in NCCP or similar is needed, and a legal background would be highly desirable. We will also consider overseas backgrounds that are suitable with Australian permanent residency.If you would like to find out more about the role and organisation and feel you have the right skills, please call James Rennie on 0422660094 for a confidential discussion.
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