Compliance Partner - Investments (Brisbane)

Compliance Partner - Investments (Brisbane)

19 Sep
|
Australia Retirement Trust
|
Brisbane

19 Sep

Australia Retirement Trust

Brisbane

Description

We’re all about helping our members make the most of their money. And while they go after their goals, you can too. As a Compliance Partner, Investments, you’ll be a strategic adviser and trusted partner to our Line 1 Investments business units, helping them understand and meet their compliance obligations.

You’ll bring together regulatory knowledge, commercial judgement and strong stakeholder skills to provide clear, practical advice. Working closely with Investments and other Line 2 teams, you’ll identify emerging risks, support regulatory change and help develop compliance plans that reflect both operational realities and regulatory expectations.

This is an opportunity to influence at senior levels, turn complex information into meaningful action and contribute to a consistent, effective compliance framework across the organisation. Through your advice, challenge and partnership, you’ll also help strengthen our compliance culture and support better outcomes for our members.

This role is a permanent opportunity based in Brisbane, Sydney, or Melbourne.

Responsibilities

Day to day, you’ll:

- Act as a strategic compliance adviser and trusted partner to Line 1 Investments business units.
- Interpret data and insights from the Risk Insights and Analytics team to communicate risks, trends and emerging issues.
- Provide proactive, practical advice to help business teams meet their compliance obligations effectively.
- Partner with stakeholders to develop fit-for-purpose compliance plans that reflect operational processes and regulatory expectations.
- Work with other Line 2 functions, including Regulatory Change, to align on regulatory expectations and assess the impact of new reforms and regulations.




- Support the Compliance Monitoring and Reporting team with reviews undertaken through the Line 2 Compliance Plan.
- Interpret complex regulatory obligations and translate them into clear, practical guidance for the business.
- Build compliance capability and culture through training, awareness and stakeholder engagement.
- Help drive remediation and continuous improvement based on insights from incidents and thematic reviews.
- Support other Compliance Partners and contribute to broader team priorities as required.

Qualifications

It goes without saying you’ll be a outstanding communicator with top notch interpersonal skills. We’ll also expect you to pick up problems and come up with quick, creative ways to solve them. It’s quite likely you tick some of the following boxes too:

- You hold tertiary qualifications in law, finance, business or another relevant discipline.
- Your experience includes significant work in compliance, legal, risk or a related area within financial services or superannuation.
- You’ll bring a strong understanding of compliance management processes, frameworks and regulatory expectations.
- You’re highly knowledgeable about Australian superannuation legislation, prudential standards and regulatory expectations.
- You can build trusted relationships and confidently influence, advise and constructively challenge senior stakeholders.
- Your approach combines sound judgement with the ability to translate complex obligations into practical business actions.
- You’ll be comfortable working across functions and navigating competing priorities in a changing environment.
- You’re open-minded and willing to bring fresh ideas while considering different perspectives.
- You adapt effectively to new situations and can help others navigate transformation and regulatory change.
- Your commitment to continuous learning supports your interest in developing new knowledge, skills and experiences.

📌 Compliance Partner - Investments (Brisbane)
🏢 Australia Retirement Trust
📍 Brisbane

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