Job Description We’re looking for a Senior Compliance SME to join our Group Risk & Compliance division and take ownership of driving best-in-class compliance risk management practices. In this role, you’ll lead the design, uplift and oversight of compliance frameworks, regulatory change processes, and risk monitoring activities as well as ensuring the effective implementation of the Compliance Risk Management Processes across the bank. You’ll play a critical role in strengthening the organisation’s second-line oversight while working closely with stakeholders across business, risk and leadership teams. You’ll also make an impact by: Leading regulatory change protocols, including identification, impact assessment and implementation oversight Monitoring emerging regulatory, legal and industry developments and advising on impacts to the business Developing and enhancing compliance risk management frameworks across the organisation Mapping compliance obligations, risks and controls aligned to the enterprise risk framework Identifying compliance gaps and coordinating remediation activities Delivering clear and insightful compliance reporting to senior stakeholders and committees Partnering with business units to embed compliance into processes, policies and day-to-day operations Providing training and advisory support to uplift compliance capability across the organisation