Analyse advice monitoring results and escalate areas of concern.
Identify, investigate, and document potential compliance breaches or irregularities.
Support the development and maintenance of a regulatory compliance monitoring plan aligned to group frameworks.
Provide guidance to Financial Planning Partners, Business Development Managers, Para-planners, and Operations Managers on compliance and advice quality requirements.
Participate in relevant compliance and advice risk committees.
Maintain compliance records, reports, and procedural documents.
Assist in preparing reports for Key Individuals, governance forums, and regulatory reviews.
Please note that should you not receive a response within 2 weeks of applying, you may consider your application unsuccessful.