This job is suited to:
- Law graduates / junior lawyer
- Candidates with full-time availability
- Individuals with strong academic credentials
- Those interested in working in-house
- Applicants with prior experience (preferred but not essential)
About the Role
Join a leading legal, financial services and insurance business based in North Sydney. As part of the Group Risk & Compliance team, you'll support the management of regulatory risk across the organisation. The role offers hands-on exposure to regulatory change, policy advocacy, compliance support, and engagement with internal and external stakeholders in a dynamic in-house environment.
Key Responsibilities
Regulatory Change & Compliance
- Monitor and summarise developments from regulators (ASIC, APRA, Treasury, ICA)
- Maintain registers, dashboards, and tracking tools
- Draft summaries and impact assessments of legal and regulatory changes
- Support regulatory change processes, templates, and internal guidance materials
Industry Advocacy & External Engagement
- Assist in preparing briefings, consultation responses, and correspondence
- Track regulatory and policy issues from government or industry bodies
- Support the business’s involvement in industry forums and consultations
- Contribute to advocacy messaging and written submissions
Reporting & Stakeholder Engagement
- Contribute to internal reports, including Board and committee materials
- Assist in preparing training and stakeholder communications
- Attend internal meetings, document key insights and action items
- Prepare briefing materials and follow-up documentation
Projects & Framework Uplift
- Provide research and coordination support for strategic regulatory projects
- Assist in uplifting frameworks, registers, and operational procedures
- Identify opportunities to streamline documentation and regulatory analysis
Ideal Candidate Profile
Education & Knowledge
- Recent graduate in law (0–2 years’ PQE)
- Interest in the Australian financial services regulatory workplace
- Awareness of the general insurance sector and regulatory bodies (e.g. ASIC, APRA) is an advantage
Skills
- Strong research, analysis, and synthesis capabilities
- High attention to detail when reviewing legal and regulatory content
- Clear written communication skills adaptable to various audiences
- Organised and capable of managing competing priorities under supervision
- Proficiency in Microsoft Office; familiarity with project tracking tools is beneficial
Attributes
The successful candidate will be:
- Committed to learning
- Reliable and quality-focused
- Team-oriented with strong interpersonal communication skills
- Open to feedback and engaged in continuous professional development
📌 Lawyer (0-2 PQE) – Regulatory Affairs - Financial Services & Insurance - Full Time - 6 Month Contract (Sydney)
🏢 Yegal
📍 Sydney