
Compliance Analyst
- Melbourne, VIC
- Permanent
- Full-time
- Conduct thorough investigations of reported incidents to determine if they constitute potential regulatory breaches.
- Analyse incident details, gather relevant evidence, and document findings.
- Escalate incidents with potential regulatory breaches or which are complex in line with required processes.
- Identify patterns and trends in incidents to uncover underlying systemic issues.
- Assist incident owners to develop strategies to address and manage the root causes of incidents.
- Develop training materials and resources to facilitate learning and understanding.
- Regularly review and update compliance documentation to reflect changes in regulations, internal policies, and business operations
- 3+ years' experience in a similar role within financial services.
- Strong knowledge of superannuation and financial advice laws and associated regulatory requirements.
- Proven ability to work in cross-functional project teams and influence stakeholders at all levels.
- Excellent analytical, communication, and documentation skills.
- Experience with incident management systems is desirable.
- Sound knowledge of risk and compliance frameworks particularly in relation to incident management and breach reporting.
- Poise and ability to act calmly and competently in high-pressure, high-stress situations.
- High level of personal integrity as well as the ability to professionally manage confidential matters.
- Commercially astute.
- RG 146 competent with ongoing CPD to support (or willingness to complete).