Regulatory Analyst, Banking and Financial Services - Sydney

We are seeking a Regulatory Analyst with legal, audit or compliance experience, to join our team.

As part of the Wealth Product Team, you will work with senior legal, risk,  compliance and business stakeholders to actively identify and manage regulatory, legal and compliance risks for Macquarie’s Wealth Division, within the dynamically evolving Banking and Financial Services Group. You will work within a high performance, solution-orientated team providing high quality and pragmatic advice support positive outcomes for the business.

In order to be successful in this role, you will hold university qualifications in either: Law, Accounting, Finance, Commerce, or similar discipline and be able to demonstrate a high degree of commercial acumen. Your past experience (1- 3 years) in either a legal, audit, risk or compliance role will ensure that you have the right experience to excel in this position, along with your strong communication and interpersonal skills.

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.

Find out more about Macquarie careers at

Macquarie understands the importance of diversity and inclusion - our long history of success has come from being different. At Macquarie we value the innovation and creativity that diversity of thought brings. The one thing we all have in common is our focus on high performance. If you're capable, motivated and can deliver, we want you on our team.

We facilitate a range of flexible working arrangements within our teams. Talk to us about what flexibility is available.

Are you viewing this job on LinkedIn? Click here to apply