Our Risk Compliance division was established in 2018 to increased demand from Banking and Financial Institutions across Australia as they face increasing scrutiny from regulators. Leveraging from our 20+ years of experience in Operations and Accounting, we’ve been able to identify, and in some cases internally transfer candidates into a relatively ”new” space.
We have strong teams in both Sydney and Melbourne with an extensive network of longstanding candidate and client relationships. The Risk and Compliance team covers both permanent and contract positions from Analyst level up to Executives. Below are a few examples of the roles that the Risk and Compliance team covers: