In this role you will: Provide business-centered risk and compliance advice and services to the Wealth services businesses within AMP Australia Provide appropriate oversight and challenge of the Wealth services business risk management Frameworks, including risk appetite statement, risk management strategy, and risk profiles Plan and implement large scale change projects across the broader Wealth Services business Lead the provision of reporting and insights to business leaders that help them make good risk decisions. This will include both insightful data and concise board and committee papers Develop and implement relevant control frameworks to address regulatory change requirements Manage the successful implementation of relevant Group policies to the Wealth admin business.
Your experiences and skills must include: A deep understanding of the Australian financial services industry, particularly in platforms, retail funds and / or superannuation Significant and contemporary risk and compliance experience within platforms, retail funds and / or superannuation Design and delivery of significant change programs within a risk and compliance landscape A track record in influencing stakeholders at different levels in a financial institution to adopt change and to drive risk aware business outcomes Experience in leading and developing people to deliver on key strategic and operational goals Graduate qualifications in risk management, compliance, governance, superannuation.
AMP recognises individual differences and welcomes people from a variety of life and work experiences.
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