Compliance & Risk (Banking & Financial Services) Full time The Investment Risk and Compliance team is responsible for the effective implementation of Cbus' first line investment risk management and compliance frameworks.
Collaborating with Investments, and Enterprise Risk, Compliance and Governance Management teams, the team identifies new and emerging risk and compliance obligations that will impact the Investments business unit.
As an Analyst, you will assist the Investments team to identify, review, and assess the operational risk in their processes, ensuring that there are robust preventative and/or detective controls to manage risks in line with established risk appetite and work to enhance and implement Investments' compliance management plan.
Suitable experience to ensure your success includes: Investment compliance experience, ideally within a superannuation fund, investment bank, broker, investment manager, or custodian environment across different asset classes and hedge funds.
Sound investment, financial market & product knowledge, particularly in investment risk and compliance.
Knowledge of regulatory requirements applicable to superannuation funds and investment managers.
Belong at Cbus We value difference and embrace people with diverse backgrounds, experiences, gender identities, abilities, and thinking styles.
We believe that, with diversity of perspectives and experiences, you get better teams and outcomes.
We're looking for people of all genders, races, nationalities, orientations, and of all abilities to join us.
We're keen to hear from you If you've read through the requirements of this role and you feel like you haven't fully met all the criteria, we would still encourage you to apply.
We're aware of accessibility barriers when it comes to applying for a job and we want to help.
If you require assistance with your application, please contact our Talent Acquisition Team via .
Applications Close: 4 November This is a full-time position based in Melbourne or Sydney.
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