Mark Longhurst
Head of Risk and Compliance at PPS Mutual- Claim this Profile
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Bio
Todd Boland
Mark has quickly established himself as a highly trusted expert in all aspects of the FoFA reforms and is frequently consulted by senior management on interpretative issues and implementation matters. Mark has demonstrated an impressive ability to enable the business in achieving commercial outcomes, whilst navigating the reforms in a structured risk management framework. His strong risk and compliance experience within financial services has been an asset to our business and will equally benefit Mark's future employers.
Todd Boland
Mark has quickly established himself as a highly trusted expert in all aspects of the FoFA reforms and is frequently consulted by senior management on interpretative issues and implementation matters. Mark has demonstrated an impressive ability to enable the business in achieving commercial outcomes, whilst navigating the reforms in a structured risk management framework. His strong risk and compliance experience within financial services has been an asset to our business and will equally benefit Mark's future employers.
Todd Boland
Mark has quickly established himself as a highly trusted expert in all aspects of the FoFA reforms and is frequently consulted by senior management on interpretative issues and implementation matters. Mark has demonstrated an impressive ability to enable the business in achieving commercial outcomes, whilst navigating the reforms in a structured risk management framework. His strong risk and compliance experience within financial services has been an asset to our business and will equally benefit Mark's future employers.
Todd Boland
Mark has quickly established himself as a highly trusted expert in all aspects of the FoFA reforms and is frequently consulted by senior management on interpretative issues and implementation matters. Mark has demonstrated an impressive ability to enable the business in achieving commercial outcomes, whilst navigating the reforms in a structured risk management framework. His strong risk and compliance experience within financial services has been an asset to our business and will equally benefit Mark's future employers.
Experience
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PPS Mutual
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Australia
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Insurance
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1 - 100 Employee
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Head of Risk and Compliance
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Jul 2023 - Present
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TAL Australia
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Australia
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Insurance
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700 & Above Employee
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Executive Manager, Risk and Compliance
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Aug 2022 - Apr 2023
Supporting the transition of the Life Insurance business from Westpac to TAL. Supporting the transition of the Life Insurance business from Westpac to TAL.
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Westpac Group
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Australia
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Financial Services
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700 & Above Employee
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Executive Manager, Risk and Compliance, Life Insurance
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Mar 2021 - Aug 2022
• Providing risk advice, oversight and challenge of the life business, focussing on non-financial risk.• Support and oversight of the Line 1 Risk team and business in the application of the Risk and Compliance Management Frameworks. • Represent risk on project steering committees, business risk forums and committees.• Drafting papers for the Insurance Risk Committee and Board.• Decision making accountability for reporting compliance breaches to ASIC.• Identification and escalation of key risk areas and driving producing thematic review. • Recipient of the Annual Individual Risk award for the Specialist Business Division, for leadership through change. • Led a new team of six senior risk professionals to form a solid operating rhythm through a period of significant change in both the regulatory environment and the business. Show less
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Executive Manager, Compliance
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Mar 2020 - Mar 2021
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AMP
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United Kingdom
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Financial Services
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Senior Manager Insurance Governance
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May 2018 - Mar 2020
Head of the line 1 Risk function for the Life Insurance business. Head of the line 1 Risk function for the Life Insurance business.
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CommInsure
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Insurance
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300 - 400 Employee
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Senior Manager, Life Product Governance
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Oct 2017 - May 2018
Internal secondment leading a project stream to deliver improvements to Comminsure Life Product Governance. Engaged on critical regulatory response. Internal secondment leading a project stream to deliver improvements to Comminsure Life Product Governance. Engaged on critical regulatory response.
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Commonwealth Bank
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Australia
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Financial Services
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700 & Above Employee
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Senior Manager, Change Risk
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Mar 2016 - Oct 2017
Internal secondment to manage delivered risk for a large scale change program.
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Senior Manager, Risk
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Sep 2015 - Mar 2016
Line 2 operational risk management for the advice businesses.
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National Australia Bank
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United Kingdom
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Banking
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1 - 100 Employee
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Risk Manager - Corporate and Institutional Wealth
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Sep 2013 - Jun 2015
First line risk management for corporate superannuation and group insurance businesses.
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Compliance Lead (Senior Business Analyst)
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Jul 2012 - Aug 2013
Compliance lead (Senior Business Analyst) on the NAB Enterprise Future of Financial Advice (FoFA) technology project.
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Macquarie Group
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Non-profit Organizations
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1 - 100 Employee
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Compliance Manager
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2008 - 2012
Responsible for managing and supporting Macquarie Group central compliance systems and processes. Experience implementing IBM OpenPages Governance, Risk and Compliance System and Cornerstone OnDemand Learning Management System. Responsible for managing and supporting Macquarie Group central compliance systems and processes. Experience implementing IBM OpenPages Governance, Risk and Compliance System and Cornerstone OnDemand Learning Management System.
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Merrill Lynch
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United States
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Financial Services
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700 & Above Employee
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Assistant Vice President
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Sep 2007 - May 2008
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Assistant Vice President
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Sep 2005 - Sep 2007
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Developer / Senior Specialist
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Dec 2003 - Aug 2005
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Education
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University of Sydney
Bachelor of Science (BSc), Computer Science, Pure Maths