6 month day rate contract
Melbourne or Sydney based
Are you a compliance specialist with deep superannuation knowledge and a knack for navigating complex transitions? We’re looking for an experienced professional to support a high-impact transformation program as we transition to a new administration platform.
This is a unique opportunity to step into a hands-on regulatory compliance lead role
during a critical phase of change. You’ll be instrumental in ensuring our program stays aligned with regulatory obligations throughout a complex system transition, with exposure to both operational and trustee-facing compliance issues.
? Key Responsibilities:
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Act as the compliance SME for a major fund transition and administration system change program
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Provide regulatory guidance across APRA and ASIC obligations (e.g. SPS 231, SPS 515, CPS 230, RG 97)
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Partner with internal stakeholders across compliance, operations, technology, and program teams
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Review, interpret, and embed regulatory and risk frameworks within new processes
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Identify potential compliance risks and work to mitigate them proactively during the transition
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Support reporting obligations and program governance
? What We’re Looking For:
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Strong background in compliance within superannuation or wealth management
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Experience working on transformation, SFTs, or admin platform transitions – not just BAU compliance
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Deep understanding of regulatory obligations , with the ability to interpret and apply them pragmatically
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Comfortable working in high-change, ambiguous environments with tight deadlines
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Strong stakeholder engagement and the ability to influence across business units.