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Compliance Officer

Details of the offer

We are seeking a professional and detail-oriented Compliance Officer to join our dynamic team in Sydney. In this crucial role, you will be responsible for supporting the Compliance Manager and CRO to ensure that our company adheres to legal standards and in-house policies.Your key responsibilities will include:Conducting thorough internal control reviews of the Australian and Singapore operationsCreating and maintaining comprehensive reports reflecting compliance and assurance metrics and key areas of improvement across the business.Reviewing and updating policies and procedures to ensure compliance with regulatory standards.Developing and delivering training programs on compliance requirements to ensure staff members are informed and compliant.Assisting the Compliance Manager and Chief Risk Officer on strategic initiatives across the Independent Reserve Group.About youYou will be able to demonstrate an ability to work closely with all levels across the Group, navigating regulatory compliance with an in-depth understanding of the internal policies and procedures.Your communication skills will facilitate high-quality interactions with the various teams, while your problem-solving and analytical capabilities assist the teams in finding compliant, commercial solutions to emerging issues. You will be able to self-manage your time and priorities under guidance from your line manager.Minimum Requirements:University-level qualification in financial services or related disciplineCompliance industry qualification (e.g. Certificate IV in Compliance & Risk management) highly desirable.2+ years of experience in banking or financial services with a strong focus on complianceThis is an in-office role, so please do not apply if you are looking for a hybrid or remote opportunity.
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Nominal Salary: To be agreed

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