Job description
WHO WE ARE
The Goldman Sachs Group, Inc. is a leading global investment banking, securities and investment management firm that provides a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments and individuals. Founded in 1869, the firm is headquartered in New York and maintains offices in all major financial centres around the world.
JOB SUMMARY
This is an Analyst or Associate-level role within the London Global Banking and Markets – Public Compliance Team providing compliance coverage across market-leading Fixed Income, Currencies and Commodities (FICC) business units, primarily focussing on Interest Rate Products (IRP) and Foreign Exchange (FX).
The role reports into the EMEA Head of IRP and FX Compliance and is part of the FICC Compliance team that sits within the Global Banking and Markets – Public Compliance team.
Requirements of the role:
- Trading floor-based role providing real-time compliance counsel to the FICC business, primarily focussing on IRP and FX, with regards to relevant rules, regulations and internal policies that govern the Global Banking and Markets – Public business.
- Provision of pro-active risk mitigation instructions on regulatory and policy matters including individual transactions, new products and business initiatives.
- Assistance with the interpretation and implementation of new rules/regulation.
- Development and delivery of both ad-hoc and annual face-to-face training.
- Development and deployment of second line controls and assisting the first line with the development of their controls.
- Review of new algorithms and other electronic-related business initiatives.
- Review of complex and strategic marketing materials and committee memos.
- Co-ordination with the broader Global Banking and Markets – Public Compliance Team, in addition to Federation and Financial Crime Compliance, on initiatives and projects.
- Co-ordination with broader firm departments, such as Controllers, Operations, Internal Audit and Legal.
- Participation in Compliance, regulatory and internal investigations and audits, including utilising firm systems to conduct forensic reviews.
- Liaising with local regulators and Exchange/MTF operators and coordination of responses to ad-hoc regulatory enquiries.
SKILLS AND EXPERIENCES WE ARE LOOKING FOR
- Analyst or Associate level
- Ability to process large amounts of information on novel topics and identify salient points, and succinctly present them to a senior audience.
- Ability to build relationships with stakeholders of various seniority and across different roles.
- Excellent written and verbal communication skills, including presentation skills.
- Demonstrable interest in financial services, in particular trading-floor Compliance.
- Proactive, self-motivated, assertive and well organized.
- Take ownership of tasks, progress them independently, and escalate to senior stakeholders when required.
- Strong analytical, technical and problem-solving skills, with the ability to exercise sound and balanced judgment.
- Ability to learn and navigate technical firm systems used for forensic reviews, and educate other team members on functionality.
- Forward-looking, focused on improving and streamlining controls and processes.
- Ability to work independently and yet remain a strong team player.
- Ability to handle multiple tasks simultaneously and work to tight deadlines, balancing short-term and long-term queries and projects, in a trading floor environment which involves multiple, daily live interactions with stakeholders.
- Desirable, but not essential: Compliance experience gained by working on a trading floor for a Tier 1 house or others with sophisticated algorithmic/electronic business units and/or complex financing/trading capabilities.
- Degree level or equivalent (not essential if has relevant working experience).
- Professional qualifications such as CA, CFA, Solicitor or Bar exams an advantage.
- Languages an advantage (particularly French and/or German).
- Ability to code or understand code would be an advantage.
- An understanding or awareness of EU and US regulation (MIFID II, MAR, Benchmarks, Dodd Frank, REMIT, FX Global Code, LBMA Precious Metals Code, FMSB Standards, EMIR, CFTC, SEC) would be an advantage.
- Ability to enrich and thrive in an international, diverse and inclusive environment.