
Risk & Compliance Officer | Financial Services
- Sydney, NSW
- $100,000 per year
- Permanent
- Full-time
- Support the management of compliance with regulatory obligations, including financial services laws and licensing requirements.
- Assist with oversight of Australian Credit Licence (ACL) and Australian Financial Services Licence (AFSL) obligations.
- Contribute to the firm's AML/CTF program through regular monitoring, reporting, and policy management.
- Identify and assess compliance risks across business functions and lending strategies.
- Undertake assurance activities, control testing, and assist in developing compliance plans with business units.
- Prepare accurate and timely reports on compliance risks, issues, and breaches.
- Support internal audits and regulatory reviews.
- Help develop, implement, and maintain risk and compliance policies and training programs.
- Collaborate with internal teams and external advisors on regulatory matters.
- Previous experience in a Risk and Compliance role within non-bank lending, investment management, financial services, or a related sector.
- Strong knowledge of:
- ASIC regulations and the Australian financial regulatory environment.
- Consumer credit laws and the National Consumer Credit Protection Act 2009.
- AML/CTF compliance requirements.
- AFSL and ACL licensing frameworks.
- High attention to detail with the ability to interpret complex regulatory requirements.
- Experience using GRC systems.
- Strong written and verbal communication skills.
- Ability to work independently and in a team environment.
- Relevant tertiary qualifications in risk management, finance, law, or related fields (preferred).