
at J.P. Morgan
Bulge Bracket Investment BanksPosted 10 days ago
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**Country Regulatory Compliance Officer – Associate** in Sydney, NSW, Australia. Lead regulatory advice to stakeholders, driving compliance and mitigating operational risks. Key duties include policy development, regulatory change input, stakeholder engagement, training, monitoring, and governance. Ideal candidate has 3+ years in legal/compliance roles, understanding of Australian/NZ financial services regulations, strong communication, organizational skills, and adaptability in complex environments.
- Compensation
- Not specified
- City
- Sydney
- Country
- Australia
Currency: Not specified
Full Job Description
Location: Sydney, NSW, Australia
Make an impact where it matters: helping teams navigate regulatory expectations with clarity and confidence. Youll work on varied, time-sensitive priorities that strengthen how we manage compliance and operational risk. Well support your growth through learning opportunities, exposure to diverse stakeholders, and meaningful work. Youll bring judgement, curiosity, and a practical mindset to real-world regulatory challenges. If youre motivated by purpose, integrity, and measurable outcomes, youll thrive here.
As a Compliance and Operational Risk Officer within Australia & New Zealand Compliance, Conduct and Operational Risk, you will work as part of the Country Compliance team that gives advice to internal stakeholders on the impact of regulatory requirements to the corporate group. Youll also provide input on, and support regulatory change and engagement, policies and education, monitoring, reporting and governance of compliance risks, operational processes, risk mitigation and control. The work is varied and time critical.
Youll work with regional and global compliance partners and collaborate closely with other compliance and operational risk stakeholders. The team operates at the intersection of regulatory change, business growth, and control effectivenessbalancing customer experience with strong risk outcomes.
Job responsibilities
- Give advice to internal stakeholders and develop frameworks on regulatory requirements, Compliance policies, risk mitigation and controls and new business initiatives.
- Provide input on regulatory change and issues.
- Interact with key stakeholders and regulators on our Compliance and Operational Risk program.
- Preparation and delivery of Compliance training and drafting and managing Compliance monitoring tasks and reporting.
- Coordination with line of business compliance groups as well as other corporate control functions such as business management, controls, audit, tax and finance as required.
- Assist in the design, development, implementation and ongoing operation of the Compliance and Operational Risk program.
- Coordinate internal and external audits, reviews, and inspections by managing evidence collection, issue tracking, and action plan governance.
- Promote a strong compliance and risk culture by partnering across teams, communicating expectations clearly, and reinforcing accountability.
Required qualifications, capabilities, and skills
- 3+ years of relevant experience in a legal, compliance, or related regulatory compliance work, with tertiary qualification in law, commerce or a related discipline.
- Working knowledge of laws and regulations applicable to the financial services industry in Australia and New Zealand.
- Youll need to have strong attention to detail and have excellent communication and organisational skills. Experience in a complex, multi-entity or global financial institution environment.
- Were looking for independent, analytical thinkers who can quickly adapt to new situations and demonstrated experience translating financial services regulatory requirements into actionable controls, procedures, and governance routines.
- Experience coordinating regulatory engagements (for example, supervisory reviews, information requests, and remediation commitments).
- Experience supporting audit, controls testing, or issue management, including evidence preparation and remediation tracking.
- Proven stakeholder management skills, including the ability to challenge constructively and drive outcomes across teams.
- Strong attention to detail, quality orientation, and sound judgement under time pressure or incomplete information.
Help shape strong regulatory compliance outcomes through advice, change management, and risk governance.



