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Job description
BlackRock seeks an experienced Compliance professional with at least 7 years of industry experience to join their EMEA Investment & Trading Compliance team in London. The role involves providing high-quality regulatory oversight, compliance advice, and proactive support across investment and trading activities.
Primary responsibilities include providing qualitative compliance advice to business units, liaising with portfolio managers and traders on regulatory matters, maintaining information barriers, delivering compliance training, and supporting business projects and strategic initiatives.
Required experience includes at least 7 years of compliance experience in asset management or investment banking, with expertise in equities, fixed income, securitizations, and credit. Strong technical regulatory knowledge, relationship management skills, and the ability to offer credible challenge are essential.
BlackRock offers competitive benefits including retirement investment tools, education reimbursement, comprehensive health resources, family support programs, flexible time off, and a collaborative hybrid work environment designed to support professional growth and innovation.
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