- Support Line 1 risk ownership to identify, assess and manage material risks
- Ensure risks are clearly defined, current, and aligned to risk appetite
- Lead and maintain risk and control assessments using approved frameworks
- Design and implement effective preventive and detective controls
- Drive remediation of control weaknesses
- Manage incidents, near misses, and breaches in line with CPS 230 expectations
- Support oversight of material service providers, outsourcing and third-party arrangements
- Develop risk and compliance artefacts for change initiatives
- Provide timely risk reporting for leadership and governance forums
- Contribute to management and committee papers
- Support training and uplift of Line 1 capability
- Reinforce accountability under the three lines of accountability model
- 5+ years’ experience in Line 1 risk & compliance within APRA regulated financial services
- Experience from Australian Insurance or Banking environments
- Demonstrated capability in designing and implementing risk management frameworks
- Familiarity with GRC systems and risk reporting tools (desirable)
- Work in a high-impact role embedded within the business
- Collaborate with senior stakeholders across risk and transformation
- Contribute to strengthening risk culture and operational resilience
- Be part of a forward-looking organisation navigating regulatory and strategic change


