Currently working as a second line Risk Manager per APRA's three lines of accountability model. My role involves embedding and monitoring a robust risk framework within Wealth and Capital Markets. This includes providing guidance and support to key stakeholders on their risks, control environment and compliance obligations (both legal and regulatory).I am a motivated self-starter who thrives either working in a team or having to lead. Specialties: Risk Management, Compliance, Operational Assurance, Regulatory Compliance, Control Testing, Corporate Governance, Business Continuity, Stakeholder Management having worked in Financial Services, Wealth Management, Banking and Private Health Insurance.