Risk and Compliance Manager - Sydney Central Business District, Australia - Morgan McKinley

Olivia Brown

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Olivia Brown

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Description

About The Role:

  • Working with the broader Risk & Compliance team to transform endtoend control framework and environment to meet new CPS 230 requirements.
  • Supporting the Group and Corporate team in designing and embedding a fit for purpose group wide risk and compliance framework, and ways to manage material and emerging risks (e.g. ESG risk)

About the Company:
This organization is one of Australias largest, and trusted investment management firms


Know for their:

  • Hyrbid/flexable working
  • Company culture
  • Leading salaries in the market
  • Experienced leaders

About You:


This role will suit an individual looking to take ownership in a key reporting role and further expand on their risk & compliance capabilities within a listed and APRA regulated diversified financial services firm.


  • Experience in identifying, monitoring and testing controls.
  • Experience in identifying, assessing, evaluating and managing risks.
  • Knowledge of financial services regulatory framework and landscape.
  • Working knowledge of a Governance, Risk and Compliance (GRC) system (e.g. Nasdaq BWise, RSA Archer, SAI Global Compliance 360, etc)

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