Company Overview: One of Australia's largest nonprofit health insurer, offering health, life and travel insurance. Known for its focus on member health, the company provides affordable cover, innovative wellness programs, and personalised support to help members manage their health and well-being. Responsibilities: Conducting regular reviews of the Compliance Management Framework, covering policies, processes, and systems.Keeping the Compliance Obligations Register current across the Group business units.Managing an annual Compliance Management Plan.Ensuring compliance documentation is accurate, relevant, and suited to its audience.Creating and delivering compliance reports and assurance to key stakeholdersSupervising the management and reporting of compliance incidents and breaches.Contributing to ongoing improvements in the company's reports.Ensuring compliance training is in place and completed as per regulatory and business requirements.Promoting a fit-for-purpose compliance culture throughout the different business units What you'll need to succeed: Tertiary qualifications in commerce, risk, compliance, law or related business disciplineExperience working in APRA/ASIC regulated industry and knowledge of Australian Privacy LawsGood working knowledge of the regulators and regulations relating to financial services e.g. APRA, ASIC, AFCAExperience in working with effective risk and compliance monitoring programs in financial services sectorProven ability to collect relevant data and organise into relevant information, as well as applying the right tools/techniques required in the circumstances