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You will operate within a complex environment, supporting first-line risk activities to ensure robust governance across investment operations and performance measurement. This role is designed for a risk professional who enjoys navigating ambiguity and embedding risk frameworks into day-to-day business processes.
Job Responsibility:
Risk Framework Management: Support the design and execution of Line 1 risk management frameworks to identify and mitigate operational, investment, and third-party risks
Incident & Issue Management: Lead the end-to-end management of incidents, breaches, and issues, including root-cause analysis, remediation tracking, and prevention strategies
Reporting & Insights: Develop risk metrics, dashboards, and management reports to provide visibility on risk exposure and support executive decision-making
Governance & Compliance: Coordinate audit and regulatory review activities (including APRA engagements) and ensure all findings are addressed and remediated
Stakeholder Engagement: Partner with Line 2 Risk and internal teams to drive a consistent risk culture and ensure alignment with group risk appetite
Control Oversight: Challenge and support control owners on design and effectiveness testing to ensure regulatory obligations are met
Requirements:
Experience: Proven experience in a Line 1 risk management role, specifically within investment operations, superannuation, or broader financial services
Technical Knowledge: Strong understanding of risk management frameworks, methodologies, and APRA regulatory standards
Incident Management: Demonstrated background in incident response, post-incident reviews, and lessons learned
Communication: Strong interpersonal skills with the ability to influence stakeholders within complex organisational structures
Qualifications: A tertiary qualification in Finance, Risk Management, Law, or a related discipline is highly regarded