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An excellent opportunity to work with a specialist in the superannuation industry and a company which continues to provide exceptional career opportunities for the future of all employees.
The role reports directly to Senior Management where you will be responsible for working closely with the compliance team to develop and manage compliance and risk management in line with legislative and industry best practice requirements together with analysis and interpretation of new legislative requirements and provide technical advice.
You will also be responsible for conducting audits of all areas of the company reviewing and making recommendation to ensure operating within the required guidelines to ensure compliant with regulatory requirements. The ability to identify change and influence the changes required to provide a positive outcome.
To be successful you require a demonstrated solid background in a compliance role with preference for an audit or investigative background having conducted internal reviews within the superannuation or financial services industry. You may also have a background working with an accounting or consulting firm. A relevant tertiary qualification in business and law is preferred.
For more information regarding this role please forward your details in confidence to Liz Medwin at lmedwin@lloydmorgan.com.au or call to discuss on 03 9683 5200.
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