Financial Services Regulatory Lawyer (Compliance & Regulatory) — Sydney
- LocationSydney, New South Wales, Australia
- Work typeOn-site
- Experience5+ PQE
- PracticeCompliance & Regulatory
A leading international law firm
Apply in confidence →Short-term (3–6 month) full-time, hybrid role supporting a large financial services organisation in Sydney. The role sits within an in-house legal/compliance function managing incident assessment, breach reporting and regulator-facing communications.
The successful candidate will handle overflow incident assessment work, prepare breach reports and regulatory notifications, and liaise with internal business, compliance, risk and external stakeholders. This engagement is offered through a flexible legal resourcing arrangement.
- Minimum 5 years' financial services regulatory experience (private practice or in‑house)
- Experience in in‑house legal, compliance, risk or regulatory functions, ideally within financial services
- Proven ability to assess incidents against legal/compliance obligations and prepare breach reports, compliance notices and regulator‑facing correspondence
- Familiarity with ASIC/APRA reporting requirements and financial services frameworks; experience with superannuation, insurance, wealth or advice businesses advantageous
- Strong drafting skills, regulatory judgement and ability to manage high volumes of assessments
- Current Australian practising certificate and right to work in Australia
Apply for this role
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