21 Aug
|
ASX
|
New South Wales
21 Aug
ASX
New South Wales
Job Description
Senior Adviser (Investigations)
n
Responsible for participant supervision activities within the Participant Supervision team, focusing on compliance and risk oversight.
n
Key Responsibilities
n
n
Manage participant supervision activities and support ongoing participant relationships, acting as the primary contact for allocated participants on supervision and compliance matters, and maintaining constructive, risk‐aware engagement.
n
Conduct participant investigations and compliance reviews, including reviewing allegations, complaints, referrals, and self‐reported breaches of the ASX Operating Rules, gathering, analysing and assessing evidence to establish facts and circumstances.
n
Investigate potential instances of non‐compliance with ASX Operating Rules and procedures, prepare clear, evidence‐based investigation reports, findings and recommendations, and identify, escalates and supports the resolution of breaches.
n
Review notifications, disclosures, submissions and requests for relief, evaluate filings for compliance with Operating Rule requirements, assess applications for waivers and relief, and prepare case reports and management information.
n
Maintain accurate records of supervision, monitoring and investigation activities and contribute to periodic reporting on compliance outcomes and emerging risks.
n
Drive participant compliance and accountability by supporting participants in addressing identified compliance issues, monitoring remediation activities, and promoting adherence to the Operating Rules.
n
Support policy,
process improvement and strategic initiatives, including enhancing supervision processes, case management practices, reporting frameworks, and contributing to regulatory change initiatives.
n
Support participant education and engagement, develop guidance materials and communication, and deliver capability uplift and knowledge sharing within the team.
n
Undertake other duties as required.
n
n
Qualifications
n
n
Tertiary qualification in law, accounting, finance, business, economics or related disciplines.
n
At least 7 years of relevant industry or professional experience.
n
Strong understanding of Australia's financial markets and operations, including equities, derivatives, OTC, clearing and settlement, or international comparatives.
n
Practical knowledge of competencies required to operate in ASX markets and
clearing/settlement
facilities.
n
Practical knowledge of compliance and risk methodologies.
n
Highly developed analytical, investigative and problem‐solving abilities.
n
Exceptional verbal, written, presentation and communication skills.
n
Ability to manage pressure of urgent matters and competing priorities.
n
Enquiring mind with determination to push back when information provided by participants is inadequate.
n
Agile, adaptable and resilient – able to manage change and maintain a positive attitude.
n
Objective and fair, with an eye for detail and concern for quality.
n
n
Benefits
n
Flexible and hybrid working arrangements available, with support for part‐time or other adaptable working options.
#J-*****-Ljbffr
📌 Principal Adviser, Participant Management, Investigations (New South Wales)
🏢 ASX
📍 New South Wales