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Compliance Manager

Greencollar
  • Newly created role within a diverse, innovative, and collaborative team
  • Varied opportunity with scope for growth
  • Challenging and interesting position at a ‘profit-for-purpose’ organisation 

About GreenCollar:

GreenCollar is Australia’s largest dedicated Environmental Markets advisor and investor. Our team works to understand the natural capital in the land and marine-scape and enable stakeholders to access innovative finance to implement projects with positive environmental and economic outcomes. GreenCollar is the largest provider of abatement under the Australian Government’s Emissions Reduction Fund. In addition, GreenCollar is actively developing new environmental markets that respond to the Paris Agreement Sustainable Development Goals.

Our clients, partners and joint venture stakeholders range from landholders, research groups, non-Government organisations, corporations, and the Government. To give best value, we bring together an equally diverse and skilled team of scientists, environmental and geographical specialists, lawyers and finance and economic professionals.

As part of the Legal and Corporate Services Team, you will be responsible for ensuring the Group’s compliance with applicable laws, regulations, and standards, as well as internal policies and procedures. The role involves regular engagement with key stakeholders to proactively communicate and manage the Group’s compliance responsibilities and framework, driving ongoing improvement of the relevant risk and compliance procedures and systems.

More about the role:

  • Identify and analyse relevant legal developments and regulatory change that may affect the Group and ensure implementation.
  • Maintain and ensure compliance with AFSL including appointment and removal of Responsible Managers / Persons and AFSL compliance / training materials.
  • Liaise with regulators, authorities and other external bodies on compliance matters and reporting requirements.
  • Manage and maintain the Group’s compliance framework and policies, compliance training, and compliance updates.
  • Perform issues assessments and prepare breach reports.
  • Complete compliance, audits, reporting and implement solutions.
  • Provide regulatory product compliance advice (application of the Australian Standards and applicable legislation).
  • Interpret and apply legal and compliance requirements for the various departments.
  • Implement, update, and maintain new and existing policies including conflicts, risk and incident registers and breach reporting.
  • Support with minor dispute resolution (e.g., managing tribunal matters, preparing, and responding to letters of demand etc.).
  • Review and monitor marketing communications to ensure compliance.
  • Act as the Group’s Privacy Officer.

About you:

  • Law, finance, accounting, or business degree. Post-graduate qualifications favourable.
  • 5+ years’ experience in compliance or legal roles.
  • Financial services experience is essential.
  • Excellent communicator and relationship manager.
  • Ability to be results oriented and drive good stakeholder outcomes.
  • Strong financial services law background and experience with licenses.
  • A strong understanding and knowledge of the risk and controls in a highly regulated and complex environment.
  • Excellent communication and reporting skills, both written and verbal, including the ability to adapt and tailor communications to appropriate audiences.
  • Some asset management experience is preferred.

How to apply

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