Legal and compliance consultants
We are seeking experienced legal and compliance consultants to develop Multiple Choice and written response Questions for high stake assessments
Summary about this job
Compliance & Risk
Company: Youfin
Location: Brisbane
Work type: Full Time
Salary: $95,000 - $109,999
Phone: +61-3-1692-3001
Fax: +61-2-1572-3218
E-mail: n\a
Site: n\a
Detail information about job Legal and compliance consultants. Terms and conditions vacancy
- Great opportunity to learn additional skills
- Work with a world leading company specializing in High stakes Assessments
- Flexible time/ National opportunity
About the business
The Moonstone Group is an uncompromised, independent provider of services to the financial services industry. We employ the latest technology, processes and solutions to provide an unparalleled level of service in South Africa, Australia and the UK.
About the role
The chosen candidate will be expected to undertake the following duties:
- To work closely with the examination development manager.
- To attend a comprehensive training programme on the development of multiple choice and written response questions.
- To develop questions in accordance with the specifications and guidelines provided by the senior consultant chosen to manage examination development, using the applicable templates.
- To deliver questions in accordance with a strict schedule and tight deadlines as requested.
- To moderate questions in terms of consistency, spelling and grammar, as well as the principles of Multiple Choice Question Development
Benefits and perks
This position allows successful candidates the opportunity to work flexible hours. Arrangements can be made to work from home for candidates not living in Brisbane.
Skills and experience
The successful candidate must meet the following essential criteria:
- Experience in delivery of compliance services to AFSL's
- An AQF7 (or higher) qualification.
- Extensive working experience in the Financial, Banking, compliance or Insurance Sector.
- Demonstrated knowledge and understanding of the applicable legislation and regulations pertaining to the Australian Financial Services Environment.
- Knowledge and understanding of the Corporations Act, 2001 with the emphasis on Chapter 7.
- Knowledge and understanding of the Professional Standards of Financial Advisers.
- Knowledge and understanding of Ethics and Professional standards.
- Knowledge and understanding of Behavioural finance.
- Knowledge and understanding of Financial Advice construction.