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Legal & Compliance – Risk Management Compliance – Associate

Legal & Compliance – Risk Management Compliance – Associate

CompanyBlackstone
LocationJackson Township, NJ, USA
Salary$115000 – $150000
TypeFull-Time
DegreesBachelor’s
Experience LevelMid Level, Senior

Requirements

  • Bachelor’s degree in accounting, finance, or business-related field
  • 3+ years of work experience, ideally at major financial services firm in Compliance
  • Confident and effective in both written and oral communications
  • Strong drafting skills and ability to grasp difficult, complex compliance and business problems
  • Highly analytical and detailed while investigating and researching
  • Excellent ability to interpret legal/business terms and concepts quickly
  • Advanced in Excel and PowerPoint
  • Exceptional judgment and professional integrity
  • Highly motivated, diligent, and conscientious work ethic
  • Ability to work independently while remaining a strong team player
  • Excellent organizational skills and follow-through
  • Strong initiative, creativity, and drive
  • Demonstrated ability to implement a measured approach, even while managing multiple and competing priorities

Responsibilities

  • Participating in the ongoing implementation and execution of Blackstone’s compliance and testing program, including assessing key business processes and critical business risk and controls
  • Analyzing data and reviewing supporting documentation provided by the businesses
  • Documenting a written testing plan and compliance testing procedures
  • Executing testing of procedures and internal controls of critical business areas
  • Evaluating, documenting, and presenting results of test work
  • Identifying enhancements and remedial actions required to address compliance gaps
  • Assisting in implementing remedial projects and processes following testing observations
  • Assisting in other related compliance and regulatory matters
  • Working with Blackstone compliance regarding firm wide compliance issues and projects; and special compliance/internal audit-related projects as necessary

Preferred Qualifications

  • Alternative investments experience (preferred)
  • Understanding of the Advisers Act and FINRA regulations (strongly preferred)