Your new company
At Hays, we build long term partnerships with our people and our customers. We’re focused on meaningful work, shared ambition and creating impact in the world of work.
With over 50 years of business success, we have built a reputation as the world leader in specialist recruitment and workforce solutions. Joining Hays isn’t just about being part of a global business leader; with over 12,000 people across 32 countries, you’ll be making a difference in the world of work
Your new role
Joining Hays, means you’ll be part of a forward-thinking business that’s going places.
Our global network and ways of working mean you’ll be part of something bigger, whilst taking pride in the work you do within a collaborative team. As the Group Compliance Officer - APAC, you will lead the implementation and oversight of the Group’s corporate ethics and integrity programme across the region, ensuring compliance with regulatory requirements, legal standards, and internal policies. You will act as a key advisor on ethics, compliance and integrity matters, helping the business navigate risks while fostering a strong culture of doing the right thing.
You’ll join the Global Corporate Compliance & ESG function at an exciting stage of its development, with the opportunity to help shape the team’s vision, strategy and long‑term roadmap. This role plays a central part in strengthening our ethical foundations and supporting our global teams as we continue to enhance our culture of integrity.
This is a full‑time permanent position ideally based in our Hays Sydney CBD office, however we are open to applications from candidates located in other Hays offices across Australia and Malaysia.
Key responsibilities include:
Lead the regional compliance framework by developing and maintaining governance structures, policies and controls aligned with global standards and regulatory requirements.
Monitor legal, regulatory and industry developments, assessing their impact on the business and implementing proactive compliance prevention plans.
Conduct compliance risk assessments, define KRIs, evaluate internal controls and develop mitigation strategies aligned with the organisation’s risk appetite.
Design, implement and maintain compliance policies, procedures and training programmes, ensuring they are understood, accessible and embedded across all business areas.
Oversee third‑party risk management, including due diligence, annual reviews and control implementation for new and existing business partners.
Manage the regional Speak Up programme, lead internal investigations, support audits, liaise with regulators and provide regular compliance reporting to senior leadership.
What you'll need to succeed
Telephone: 0282269684