Compliance, Asset Management (“AM”) Compliance, Associate, Dallas
Goldman Sachs · Dallas, United States · 11h ago
This position sits in the divisional compliance team that covers the Asset Management (“AM”) business within Goldman Sachs’ Asset & Wealth Management (“AWM”). Asset Management delivers innovative investment solutions through a global, multi-product platform that offers clients the advantages that come with working with a large firm, while maintaining the benefits of a boutique. AM’s clients are global, with complex challenges that require deep investment expertise and dedicated client service to help them achieve their unique investment goals. AM serves a diverse range of clients – individuals, financial advisors, and institutions – who rely on AM to help them understand markets, deliver innovative investment solutions and plan for their future.
RESPONSIBILITIES AND QUALIFICATIONS
Asset Management (“AM”) Compliance is seeking a compliance Associate to join the US AM Sales and Marketing Compliance team in Dallas. The role will provide day-to-day compliance advice and oversight relating to the development, review and use of marketing materials and communications for AM products, services and investment capabilities, including applicable regulatory requirements and reputational risk considerations. The individual will partner with AM’s Marketing teams and work closely with regional Compliance, Legal, Operations, Engineering, Internal Audit and other control functions. This is a highly collaborative role that requires sound judgment, strong writing and communication skills, and the ability to translate regulatory requirements into practical guidance. The ideal candidate will have a strong interest in regulatory compliance and in understanding AM’s business model, products, marketing channels and content-development processes.
Principal Responsibilities:
Provide compliance oversight and practical guidance to AM Marketing personnel regarding the development, review, approval and use of marketing materials and communications.
Review and advise on marketing materials and other content used to describe or promote AM products, services and investment capabilities.
Analyze and stay current on laws, rules, regulations and regulatory expectations applicable to investment adviser advertising, fund marketing and related communications in the United States and abroad.
Advise on new marketing channels, campaigns, content formats and other business initiatives, including the development of practical compliance controls and escalation processes.
Develop, draft and maintain compliance policies and procedures outlining firm requirements, jurisdictional requirements, applicable regulations and best practices for marketing activities.
Create and deliver compliance training for relevant stakeholders.
Perform compliance monitoring and testing, including reviews of surveillances and targeted or forensic reviews, to assess marketing compliance risks and identify potential breaches or control enhancements.
Coordinate with business and control-function stakeholders to address regulatory developments, compliance issues and remediation activities relating to marketing.
Assist with regulatory examinations, audits and inquiries, including gathering information, preparing responses and tracking follow-up items.
Qualifications:
Bachelor’s degree required; JD or MBA a plus.
3+ years of Compliance, Legal, Regulatory or Financial Services industry experience.
Experience advising on advertising or marketing compliance matters within asset management or another regulated financial services business preferred.
Working knowledge of the regulatory framework applicable to investment advisers, registered investment companies, broker-dealers and the marketing of investment products preferred.
Excellent written and oral communication skills, sound judgment, strong organizational skills and attention to detail.
Strong project-management and relationship-building skills, with the ability to collaborate effectively across business, regional and control-function teams.
Ability to analyze complex regulatory requirements, communicate them clearly and develop practical, risk-based solutions.
Ability to manage multiple priorities and work effectively in a fast-paced environment.
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