Risk & Compliance Manager – Investments
Mercer | Sydney or Melbourne | Hybrid
Mercer Investments Australia (MIAL) is seeking a Risk & Compliance Manager to support our Line 1 risk and compliance activities across the Investments business. This is a hands-on role partnering with stakeholders to strengthen control effectiveness, support incident management and reporting, and contribute to AML/CTF and sanctions screening activities.
We will count on you to:
- Deliver risk and compliance monitoring and reporting for Mercer Investments Australia (MIAL).
- Proactively monitor adherence to frameworks, policies, procedures and controls, identifying gaps and driving practical remediation.
- Support business-led investigations into incidents and issues, including timely updates, root cause analysis, remediation tracking, prevention of recurrence and (where required) regulatory reporting.
- Provide and coordinate Risk & Compliance training, including Incident Management and Root Cause Analysis.
- Monitor and support annual CPD completion requirements (including RG 146 and Responsible Managers).
- Support AML/CTF activities including investor risk ratings, transaction monitoring, and World-Check sanctions screening.
- Assist the Senior Risk & Compliance Manager with ad hoc tasks and projects.
What you need to have:
- 7+ years’ experience in Risk, Compliance and/or Legal within funds management or a similar financial services environment.
- Strong understanding of financial markets, investment products and investment management processes.
- Proficiency in Excel, Word and PowerPoint (Power BI skills desirable).
- Strong organisational skills and attention to detail, with sound research and administration capability.
- Strong written and verbal communication skills with the ability to clearly explain compliance requirements.
- Ability to influence and collaborate with stakeholders at all levels to deliver practical, business-aligned compliance solutions.
- Tertiary qualification in Law, Commerce, Finance or a related discipline (or equivalent experience).
What makes you stand out:
- Experience supporting incident management and delivering meaningful, measurable remediation in an investments environment.
- Working knowledge of AML/CTF controls (risk ratings, transaction monitoring, sanctions screening) and comfort operating in a “hands-on” Line 1 setting.
- Strong reporting mindset—able to turn data into clear insights (including exposure to dashboards/Power BI).
- Confidence partnering with Line 2 Compliance, Internal Audit and external auditors while maintaining strong business relationships.
What We Do
Marsh McLennan (NYSE: MMC) brings together nearly 78,000 experts in risk, strategy, and people across Marsh, Guy Carpenter, Mercer, and Oliver Wyman, serving clients in over 130 countries. Marsh enables enterprise worldwide by helping clients manage risks, transforming uncertainty into opportunity. Guy Carpenter helps clients grow profitably with reinsurance broking expertise, advisory services, and advanced analytics. Mercer helps organizations advance the health, wealth, and careers of their most vital asset — their people. Oliver Wyman’s expertise in strategy, operations, risk, and organization transformation changes what is possible for our clients, their industries, and society. Together, we combine a unique range of capabilities to help our clients solve problems, seize opportunities, and build lasting success in increasingly complex operating environments.







