
Senior Compliance Manager
- Sydney, NSW
- Temporary
- Full-time
- Report to Lead Compliance Principal and work across various compliance functions.
- Lead or support teams as required for specific projects or initiatives.
- Assist in deep-dive reviews to identify gaps in compliance and regulatory issues.
- Provide compliance advice on regulatory change projects, including Privacy Act Review.
- Advise on the effectiveness of compliance risk management at Hollard.
- Support management of regulatory compliance incidents.
- Respond to regulatory lodgements or requests from ASIC, APRA, OAIC, etc.
- Develop tools for more efficient enterprise-wide compliance risk management.
- Create and maintain reports to ensure compliance requirements are met.
- Work alongside Group Compliance team to achieve overall objectives.
- 5+ years' experience in a Line 2 Compliance role or similar.
- 4+ years' legal, insurance, or financial services compliance experience (insurance preferred).
- Tertiary qualification or diploma in relevant fields (Accounting, Law, etc.).
- Strong knowledge of APRA standards, Corporations Act, ASIC Act, GI Code of Practice.
- Management experience is advantageous.
- Proficient in Microsoft Office and risk incident software.
- Ability to analyze risks and recommend practical solutions.
- Strong communication, leadership, and organizational skills.
- Ability to build relationships and engage stakeholders effectively.
- Collaborative, resilient, and professional with a high level of integrity.
- Self-motivated and adaptable with a forward-thinking mindset.
- Ability to work in a dynamic and demanding environment.
- Strong attention to detail and proactive in improving processes.