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Job Details

Location
New South Wales
Salary
$150000 - $210000 per annum
Job Type
Permanent
Ref
BH-158883
Contact
Eugena Gong
Posted
2 months ago
The Organisation & The Role:

Our client is an established and trusted brand who's been providing edge-cutting trading solutions to clients around the world over the past decade. This newly created Head of Compliance role is a unique opportunity for an experienced compliance manager to advance their career. You will be accountable for the execution and refinement of the firm's Australia compliance framework and program, reporting directly into the company directors and leading a small team.


Your Main Responsibilities:  
  • Manage regulatory applications, maintain current AFSL licences and regulatory relations (serving as the primary contact for all regulatory bodies and authorities)
  • Manage the compliance monitoring plan, AML/CTF program, KYC/client onboarding, trade surveillance and derivative transaction reporting frameworks 
  • Maintain awareness and ensure compliance with Australian regulatory framework, securities laws and regulations including APAC and EU laws
  • Continuously review and update existing compliance manuals, policies, procedures and training programs to reflect latest regulatory changes
  • Proactively identify any process gaps and improvement procedures, formulate remediation action plans
  • Oversee the remediation of self-disclosed non-compliance issues, timely resolution of audit findings, any identified compliance gaps
  • Develop and deliver senior management and Compliance Committee reporting on regulatory changes, key controls testing and incidents management
  • Lead and coach of a team of compliance managers and analysts
  • Coordinate with offshore compliance resources when required

The Requirements:
  • Current / previous experience in FX, CFD, OTC Derivatives trading/broking industry is compulsory
  • Tertiary Degree (preferably in Law, Finance, Business Administration, Accounting or any AML and Compliance related qualifications)
  • Minimum 5 years of track record experience in the AML and/or Regulatory Compliance function
  • Good knowledge of the Corporations Act, ASIC, AFCA and AUSTRAC and other local regulatory requirements is a must
  • Demonstrable knowledge of regulatory obligations for an ASIC regulated financial institution
  • Previous experience leading and coaching a small team is ideal

For further information on this role or to confidentially apply, please send an up to date CV to eugena.g.a4lm85jw4qa@ethosbc.aptrack.co contact Eugena Gong on 02 8227 9200 or apply directly via the Apply for this job button. Only WORD FORMAT resumes will be accepted.