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Location
Sydney
Salary
$105000 - $125925 per annum
Job Type
Permanent
Ref
BH-93781
Contact
Eugena Gong
Posted
大约 5 小时 前

Role Summary:

We are looking for an experienced Audit, Compliance or Risk Assurance professional who fancy a promising career with leading Australian financial institutions, in a 2nd LoD Risk & Compliance function.



Your Responsibilities:

 

  • Deliver the annual assurance plan for the a number of core business units in the bank's Enterprise / Group Functions (eg. Group Risk & Compliance, Legal, HR, Operations, Customer Service etc.), ensure the assurance and monitoring programs are aligned to Group Risk & Compliance strategy

  • Perform independent reviews on the effectiveness of key business controls as a dedicated 2nd LoD function

  • Apply your audit & assurance knowledge to fully understand all the controls, run assurance testings in accordance with the Group's risk management program and strategy

  • Deliver assigned reviews from the annual assurance plan, with extra attention to high and medium risk rated projects

  • Document findings and deliver assurance opinions, collaborate and challenge the business when necessary

  • Assist with embedding key risk monitoring and control practices into the business

  • Maintain a cohesive working relationship with key stakeholders especially Ops Risk, Compliance & Group Audit

  • Collate and consolidate materials for management and committee meetings

  • Act as a people leader for the team, to provide ongoing feedback and guidance

 


Skill Requirements:

 

 

 

  • 3-5 years of hands-on assurance experience in Banking or Professional Services (Big4 Consulting firms) in Australia or overseas

  • Adept in your process of effectively designing and executing testing plans, reviewing scopes/reports and leading assigned reviews

  • Experienced in developing and implementing Risk & Compliance frameworks for large organisations

  • Superior ability to articulate and socialise findings to influence and get buy-in's from the GM level

  • Demonstrated ability and confidence in presenting to Group Executives and Risk Committees

  • Updated understandings of the regulatory landscape that Australian banks are operating in

  • Relevant qualifications such as CA/CPA, CIA, CISA, CFA, FRM, MBA are desirable

 


For further information on this role or to confidentially apply, please send an up to date CV to eugenag@ethosbc.com.au or/and contact Eugena Gong on 02 8227 9200 or apply directly via the Apply for this job button. Only WORD FORMAT resumes will be accepted.