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Compliance Manager – Licensing and Policy – 12 Month Fixed Term Contract

Additional office locations
Sydney
Job ID
22724
Date
23-Jun-2026
Maximum term, Mid-senior
Job category
Compliance & Regulatory, Risk Management
Our licensing and policy compliance team sit within Macquarie's Risk Management Group, supporting regulatory compliance for licensed Australian and New Zealand entities. We work closely with business unit aligned compliance teams to manage licensing, policy, and regulatory requirements in a clear and consistent way.
We are a global financial services group operating in 30 markets with 57 years of unbroken profitability. At Macquarie, you’re empowered to shape a career that is fulfilling and creates value. You will bring your insights and expertise to the task at hand and feel supported as you make your own kind of impact for a better future.

What role will you play?

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In this role you will support the management of regulatory compliance for our Australia and New Zealand entities, with a focus on licensing and policy. You will process license changes, maintain and apply policy frameworks to support reporting and regulatory activities. You will also help identify improvements and enhance training opportunities across the team.

What you offer

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  • Strong understanding of ASIC regulatory compliance, licensing, and policy management in a financial services environment
  • Experience preparing and processing license applications and changes with regulators
  • Ability to review, maintain and apply compliance policies, including areas such as conflicts and external activities
  • Strong communication skills to engage with stakeholders and share updates on regulatory matters
  • Attention to detail and ability to manage data collection, reporting, and regulatory submissions accurately.

We love hearing from anyone inspired to build a better future with us, if you're excited about the role or working at Macquarie we encourage you to apply.

About the Risk Management Group

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Our Risk Management Group works as an independent, and centralised function, responsible for independent and objective review and challenge, oversight, monitoring and reporting in relation to Macquarie’s material risks. We are a global team that aims to manage the risks of today and anticipate the risks of tomorrow. Our divisions include compliance, credit, financial crime risk, market risk, operational risk, aggregate risk and prudential, and central.

Inclusion at Macquarie

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We are committed to providing an inclusive environment for all, where different experiences, skills and perspectives are valued and respected. Macquarie provides access to opportunities for all individuals regardless of race, colour, religion, sex, sexual orientation, national origin, age, disability, protected veteran status, genetic information, marital status, gender identity or any other characteristic or circumstance. 


We provide reasonable adjustments to individuals who may need support during the recruitment process and employment. If you require an adjustment, please let us know during the application process.