Manager, Compliance Financial Markets & Treasury

at  Westpac Institutional Banking

Sydney, New South Wales, Australia -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate04 Aug, 2024Not Specified06 May, 20247 year(s) or aboveGood communication skillsNoNo
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Description:

WHAT DO I NEED?

We are looking for someone who has Financial Markets/ Treasury and Debt capital markets risk and compliance experience. You will have 5 - 7+ years experience in a banking context with a financial services regulator preferred, you will have detailed knowledge of Australian regulatory environment relating to financial markets activities. You will be experienced in Compliance, Risk or legal function and demonstrate experience interacting with stakeholders at all levels and building strong relationships within a Financial Markets Compliance team including internal and external stakeholders. You will thrive on the pace and energy of a trading room/ markets environment and have the capacity to operate in a complex, changing and sometimes ambiguous environment.

HOW DO I APPLY?

Start here. select the APPLY or APPLY NOW button.
As part of our commitment to creating a diverse and inclusive workplace, this role is open to experienced candidates seeking a discussion around workplace flexibility. We invite candidates of all ages, genders, sexual orientation, cultural backgrounds, people with disability, neurodiverse individuals, and Indigenous Australians to apply. If an adjustment is required to assist you during our recruitment process, please email talentacquisition@westpac.com.au

Responsibilities:

  • Supporting Westpac’s compliance strategy across the FM, TSY and WIB businesses
  • Driving a best practice approach to compliance risk management, including conflicts management.
  • Maintaining a positive and transparent relationship with the business and internal stakeholders.
  • Providing proactive, reliable and relevant compliance advice regarding FM’s and TSY’s business activities.
  • Facilitating face to face training to address regulatory and business requirements.
  • Undertaking the completion of BAU compliance activities
  • Participation in the Product Approval Committee process for new products.
  • Completion of compliance assessments and breach reporting in a timely manner.
  • Monitoring, identifying, and advising on domestic and global regulatory change.
  • Reporting to oversight committees and forums.Liaising with the broader Compliance function and risk partners in an effective and productive way


REQUIREMENT SUMMARY

Min:7.0Max:12.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Proficient

1

Sydney NSW, Australia