Senior Compliance AssociateMoody's - Sydney NSW 2000Job detailsJob Type: PermanentEmployment Type: Full-timeFull job descriptionExperience Level: Experienced HireCategories:Corporate ServicesLocation(s):1 O'Connell Street, Sydney, 2000, AULine Of Business: Compliance (COMPLIANCE)Entity: Moody's Shared Services (MSS)At Moody's, we unite the brightest minds to turn today's risks into tomorrow's opportunities. We strive to create an inclusive environment where everyone feels welcome to be who they are, with the freedom to exchange ideas, think innovatively, and listen to each other and customers in meaningful ways.If you are excited about this opportunity but do not meet every single requirement, please apply! You may still be a great fit for this role or other open roles. We seek candidates who model our values: invest in every relationship, lead with curiosity, champion diverse perspectives, turn inputs into actions, and uphold trust through integrity.Skills and CompetenciesUpholds the highest ethical standards in all professional endeavors.Exhibits a professional demeanor, demonstrating proactivity, flexibility, diligence, and dependability.Possesses excellent interpersonal skills for effective interaction with internal and external parties, including regulatory bodies.Good influencing and negotiation capabilities.Capable of adjusting to changing market conditions and the business environment.Works effectively within a team setting as well as independently.Demonstrates enthusiasm for and ability to learn new concepts and practices.Highly organized and efficient, with the ability to multitask and meet tight deadlines.QualificationBachelor's degree or higher in Business, Accounting, Law, or a related finance discipline. Advanced qualifications or licenses in law, accounting, or compliance are desirable.5+ years of compliance, regulatory, internal audit, or legal experience in global financial institutions. Valuable experience with the Australian Investment and Securities Commission (ASIC), Australia Prudential Regulation Authority (APRA), law enforcement, or legal practice in the finance sector, particularly in Asia Pacific.Exposure to securities regulators and a solid understanding of the cross-border regulatory environment are desirable.ResponsibilitiesIn this role, you will independently manage tasks related to our Australia operations, reporting directly to the Head of Compliance for Australia and Singapore. Your responsibilities will include providing compliance support to the local business and executing the local Compliance program.Provide expert advice and support on compliance matters to stakeholders across local and regional jurisdictions, ensuring regulatory adherence and best practices.Assist in preparing comprehensive internal and external reports and materials for senior management, the Australia Board, and the local regulator encapsulating key compliance metrics and insights.Coordinate regulatory reporting.Successfully participate in local Compliance projects and support initiatives in other jurisdictions to achieve global compliance objectives.Independently manage tasks, prioritize deliverables, and perform effectively under pressure.Participate in APAC and global meetings, trainings, and projects, offering valuable insights.Exercise sound judgment in task execution, identifying and escalating risks promptly.Plan and implement Compliance training programs to promote a culture of compliance integrity.Collaborate with Global Compliance teams and Business Unit Compliance Officers (BUCOs) to ensure a unified compliance strategy.About the teamMoody's Compliance function operates globally to provide compliance advisory, support, training, and surveillance to its business lines. The successful candidate will be required to work independently to manage and execute tasks related to the regional operations.Moody's is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability, protected veteran status, sexual orientation, gender expression, gender identity, or any other characteristic protected by law.Candidates for Moody's Corporation may be asked to disclose securities holdings pursuant to Moody's Policy for Securities Trading and the requirements of the position. Employment is contingent upon compliance with the Policy, including remediation of positions in those holdings as necessary.Job ID 7011-a56676About CompanyMoody'sNew York, United States 14000 Employees Information ServicesAbout Moody's: In a world shaped by increasingly interconnected risks, Moody's helps customers develop a holistic view of these risks to advance their ...
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