My client seeks a Business Analyst with Compliance, Legislative & Regulatory experience..Ideally wealth management - superannuation experience
The right candidate will be responsible for relationships with Regulators including APRA, ASIC, AUSTRAC
Required Qualifications and Experience
- Proven experience as a Business Analyst with a compliance background
- Compliance experience within the financial services industry, with exposure to superannuation and investments
- Knowledge of Compliance, Legislative & Regulatory requirements within the wealth management industry
- A strong understanding/experience of compliance management processes
- Knowledge of regulatory and compliance frameworks and the ability to translate regulatory requirements to specific areas of business or activities
- Ideally Degree qualified in Law, Commerce or other relevant field
- Specialist qualifications in Compliance well regarded
Competencies Required
- Demonstrate a genuine care for members by ensuring that all decision-making considers their needs
- Innovative problem solving and decision-making with a focus on service delivery excellence and achievement of business objectives
- Results orientated, excellent analytical, technical and problem solving-skills, attention to detail and administrative ability
- Skills to influence colleagues and gain co-operation, especially when there are competing priorities
- Manages high volume workload; reliably meets strict deadlines
- Displays a collaborative, team work approach and attitude
- Excellent written and verbal communication skills
- Customer/Member focussed
If you have the skills and experience mentioned above and believe you are the right candidate for the role then APPLY NOW on the link below!!