This is an excellent opportunity to become a member of our Regulatory Governance team supporting the BFS Wealth Product business.
Within the BFS Wealth Product and Technology Division, the Wealth Product business primarily provides choice platform products to superannuation members and investor directed portfolio service (IDPS) clients.
As our Regulatory Compliance Manager, you will be responsible for:
Ideally, you will hold university qualifications in either Law, Accounting, Finance, Commerce, or a similar discipline. A minimum of five years previous experience working with wealth products or platforms (eg superannuation and IDPS) and/or in an audit, non-financial risk or compliance role is preferred. To excel in this position, you will need to be organised and possess excellent communication and stakeholder management skills. A sound working knowledge of the regulatory environment in which the Macquarie Wealth products operate would prove valuable in this role.
About us
Banking and Financial Services Group (BFS) comprises our retail banking and financial services businesses, providing a diverse range of personal banking, wealth management and business banking products and services to retail customers, advisers, brokers and business clients. BFS operates predominantly in Australia and is organised into three business divisions: Personal Banking, Wealth Management and Business Banking.
We recognise the world is changing, and that means the way in which we do our work is changing too. Joining our Banking and Financial Services group means you will be empowered to work in a way that suits you best. With the right technology, support and resources, our people work where it works for them in Australia. Whether it’s from home, in an office, a combination of both, or on a flexible schedule, talk to us about what working arrangements will help you thrive.