Compliance Officer (Stockbroking & Financial Planning) (Queensland)

Compliance Officer (Stockbroking & Financial Planning) (Queensland)

16 Aug
|
Berritta Consulting
|
Queensland

16 Aug

Berritta Consulting

Queensland

Compliance Officer (Stockbroking & Financial Planning)

An excellent opportunity is available to join a well-established, privately owned financial services firm providing stockbroking, investment and financial planning services to a long-standing client base. This is a diverse, hands-on role offering exposure across both stockbroking and financial planning, making it ideal for someone who enjoys the practical side of compliance and wants to develop broad financial services experience.

Reporting directly to a Director and the Finance Manager, you will play an important role in supporting the firm's compliance and regulatory framework. You'll work closely with advisers, brokers and management across client account compliance, trade monitoring, AML/CTF, documentation, internal audits, policies and regulatory obligations.

Rather than being purely policy-focused, this position will see you involved in the day-to-day compliance activities of the business and helping ensure the wider team continues to meet its regulatory responsibilities.

Key responsibilities

Monitor new and existing client accounts to ensure compliance requirements are met

Review trade daybooks and transactions for adherence to internal and regulatory requirements

Conduct general and branch compliance audits, including account, SOA and order reviews





Support AML/CTF compliance, monitoring and reporting

Ensure advisers, brokers and employees are adhering to internal compliance policies and procedures

Review and maintain client-facing documentation including FSGs, Client Guides, SOAs, ETO and PDS documentation

Maintain and update internal compliance policies and procedures

Monitor changes to relevant financial services legislation and regulatory requirements

Assist with legislative and regulatory submissions

Maintain compliance registers including breaches, complaints, MDAs and sophisticated investors

About you

2 to 10+ Years experience

Previous experience in a Compliance Officer, Compliance Analyst or similar role

Experience within stockbroking and/or financial planning

Good understanding of Australian financial services compliance and regulatory requirements

Exposure to AML/CTF and client account compliance

Experience reviewing trades, advice documentation and/or client files

Strong documentation and policy-writing skills

Excellent attention to detail and ability to identify potential compliance issues

Confidence working with advisers, brokers, senior management and other stakeholders

A practical and collaborative approach to compliance

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📌 Compliance Officer (Stockbroking & Financial Planning) (Queensland)
🏢 Berritta Consulting
📍 Queensland

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