Take ownership of your work and influence key business outcomes as a key compliance representative.
Collaborate with senior compliance professionals and stakeholders to actively manage compliance risks for our Banking & Financial Services group.
Demonstrating your ability to make informed and timely risk and commercial decisions, you will utilise your excellent communication and stakeholder management skills to advise the business and get involved in end to end product initiatives, product design, operations and marketing compliance related questions, as well as partner on upcoming projects and innovations. This is a true end to end line 2 compliance role giving you exposure across our entire Retail product suite, and will see you partnering with the business at all levels.
Your understanding of key regulatory requirements, specifically NCCP will prove critical to success in this role. Prior exposure to the Mortgages industry is an advantage, as is experience within a retail banking environment.
If this sounds like the opportunity for you to further your career, please contact Jennifer Leese at Jennifer.firstname.lastname@example.org for more information and to apply.
The Risk Management Group (RMG) is an independent, centralised unit responsible for assessing and monitoring risks across Macquarie. This includes market and liquidity risk, credit risk, compliance risk and operational risk. RMG personnel liaise closely with all operating areas to ensure risks are understood and properly managed.
Find out more about Macquarie careers at www.macquarie.com/careers
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