Regulatory Change Manager
Apply now
Job no: 40051941_25022019
Work type: Permanent full time
Location: Sydney CBD Area
Categories: Project & Change Management, Risk Management & Compliance
- You are logical and data driven, yet challenge traditional thinking
- We’re finding smart solutions and uncovering opportunity.
- Together we’re creating the best possible strategies and providing the right solutions for our customers.
Do work that matters
To support sustainable business growth across IB&M and Group Treasury through identification, analysis, impact assessment and reporting of global regulatory change impacting IB&M and Group Treasury.
As a line 2 role, you will work closely with the business (including Line 1 risk management), other risk functions (operational, market, credit) and other business support functions.
See yourself in our team
The Compliance team is responsible advising on, testing and overseeing the Compliance Risk Management Framework.
In delivering these services our key aim is to support Business Units achieving their strategic goals including amongst many things, operating within their respective Risk Appetites.
In any given week you will
- To support the business by monitoring, analysing, assessing impact and reporting all applicable regulatory change relevant to IB&M and Group Treasury globally.
- Assist in providing compliance advice and support to all stakeholders with regard to analysis and implementation of regulatory change, to ensure understanding of and compliance with regulatory change.
- Assist in global co-ordination with onshore and offshore compliance colleagues in relation to regulatory change.
- Participate and contribute to IB&M and Group Compliance initiatives and projects (e.g. policy improvement or training initiatives).
- Maintain the team’s regulatory change SharePoint site and identify and implement areas for governance improvements.
Your path looks like
If you live and breathe the values and demonstrate the people capabilities we can offer great career opportunities both within the Risk Management leadership team and beyond in the wider CommBank Group. We’ll help you find the next step that’s right for you and enable you to be your best.
We're interested in hearing from people who:
We are seeking a motivated individual with:
- Strong team work focus with excellence in driving results.
- Strong communication skills, with the ability to translate regulation into practical interpretation.
- Ability to engage with a wide range of stakeholders and ensure strong and effective relationships.
- Ability to manage multiple streams of work and competing priorities, applying an organized and methodical approach
- Graduate degree; legal, finance
- or engineering disciplines preferable but not essential
- Graduate through to 2 years’ experience in financial services or legal role.
- Knowledge of compliance, financial markets regulatory environment, markets and/or institutional banking related products preferable but not essential
At CommBank, we’re committed to building a diverse and inclusive workforce reflecting the customers, businesses and communities we serve. As a value’s driven organisation, we nurture and support our people; through focusing on skill and talent development, collaboration, flexibility and internal promotion. With service in mind at every touch point, we take accountability for the role we play in securing and enhancing the financial wellbeing of people, businesses and communities. At CommBank you can be you.
*LI
Advertised: AUS Eastern Daylight Time
Applications close: AUS Eastern Daylight Time