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Compliance - Salt Lake City - Associate, Business Unit Compliance

ExperiencedNo visa sponsorship
Goldman Sachs logo

at Goldman Sachs

Bulge Bracket Investment Banks

Posted 3 days ago

No clicks

**Associate Business Unit Compliance - Salt Lake City** - **Responsibilities:** Interact with Asset Management business and compliance teams, review/pitch marketing materials, perform periodic testing, deliver compliance trainings, coordinate with various teams, and manage projects. - **Skills & Experience:** Master's degree in relevant field and 2 years of experience OR Bachelor's degree and 3 years of experience. Required: knowledge of FINRA Rule 2210, SEC Marketing Rule 206(4)-1, Investment Advisers Act, Investment Company Act of 1940, Di capables, Microsoft Excel (Vlookup, Xlookup, pivot tables, macros), Artificial Intelligence tools, and financial services industry. - **Seniority Level:** Associate

Compensation
Not specified USD

Currency: $ (USD)

City
Salt Lake City
Country
United States

Full Job Description

Compliance - Salt Lake City - Associate, Business Unit Compliance - 9298516Salt Lake City, UT, United States
Opportunity Overview
CORPORATE TITLEAssociate
OFFICE LOCATION(S)Salt Lake City
DIVISIONCompliance Division

Job Duties: Associate, Business Unit Compliance with Goldman Sachs & Co. LLC in Salt Lake City, Utah. Interact with the Asset Management business and other compliance teams on a daily basis. Provide compliance advice regarding, and review of, marketing materials that are used to pitch Asset Management products and services to clients on a daily basis that are subject to regulation under the Investment Company Act of 1940 and are organized as open-end funds, closed-end funds and exchange traded funds. Perform periodic testing of marketing materials, including review of surveillances and forensic reviews of policies and procedures to ensure a robust control framework. Organize and deliver compliance trainings to various Asset Management business teams globally regarding compliance and regulatory requirements. Coordinate with Asset Management businesses such as the Client Solutions Group and various Client Portfolio Management teams, as well as Legal, Technology and Operations to opine on relevant compliance matters to drive client service and assist with new business initiatives and regulatory requirements. Work both independently and under supervision on ad-hoc and long-term projects such as regulatory remediation, process enhancements due to new regulations, and various projects to increase efficiency across the compliance division, as required. Responsible for the analysis of new AI tools being deployed across Asset Management, including the evaluation of risks, creation of training materials, oversight of deployment, and ongoing advisory support. Evaluate potential client complaints from a compliance and regulatory standpoint including the logging and tracking of responses and remediations. Evaluate and issue potential compliance violations to Asset Management employees across various Compliance requirements (including e-Communications and Personal Trading violations). Assist with the preparation of the annual 206(4)-7 compliance report by leading quarterly meetings with senior compliance management to identify topics for inclusion.

Job Requirements: Masters degree (U.S. or foreign equivalent) in Finance, Economics, Management, Business Administration, Law or a related regulatory finance/business discipline and two (2) years of experience in the job offered or a related role OR Bachelors degree (U.S. or foreign equivalent) in Finance, Economics, Management, Business Administration, Law or a related regulatory finance/business discipline and three (3) years of experience in the job offered or a related role. Prior experience must include two (2) years of experience with a Masters degree or three (3) years of experience with a Bachelors degree with the following: review marketing materials for compliance with FINRA Rule 2210 and the SEC Marketing Rule 206(4)-1; experience and familiarity with the Investment Advisers Act and Investment Company Act of 1940; advise internal stakeholders on regulatory exams and audits; provide regular postings to senior management through various means, including verbal and written presentations; deliver compliance trainings in a case study format to train the Asset Management business on regulatory and reputational risk considerations; manage multiple, complex projects simultaneously and ensure deadlines are met; working knowledge of excel, including basic formulas including Vlookup, Xlookup, pivot tables, and macros; working knowledge of Artificial Intelligence tools and use cases; knowledge of SEC Rule 206(4)-7; knowledge of the SEC Code of Ethics requirements under the Investment Company and Investment Advisers Act of 1940; and working knowledge of the financial services industry and related products, including Equities, Fixed Income, Stocks, Bonds, Options, Warrants, registered and unregistered or privately offered funds.

The Goldman Sachs Group, Inc., 2026. All rights reserved. Goldman Sachs is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sex, national origin, age, veteran status, disability, or any other characteristic protected by applicable law.

We Offer Best-In-Class Benefits
Healthcare & Medical Insurance
We offer a wide range of health and welfare programs that vary depending on office location. These generally include medical, dental, short-term disability, long-term disability, life, accidental death, labor accident and business travel accident insurance.
Holiday & Vacation Policies
We offer competitive vacation policies based on employee level and office location. We promote time off from work to recharge by providing generous vacation entitlements and a minimum of three weeks expected vacation usage each year.
Financial Wellness & Retirement
We assist employees in saving and planning for retirement, offer financial support for higher education, and provide a number of benefits to help employees prepare for the unexpected. We offer live financial education and content on a variety of topics to address the spectrum of employees priorities.
Health Services
We offer a medical advocacy service for employees and family members facing critical health situations, and counseling and referral services through the Employee Assistance Program (EAP). We provide Global Medical, Security and Travel Assistance and a Workplace Ergonomics Program. We also offer state-of-the-art on-site health centers in certain offices.
Fitness
To encourage employees to live a healthy and active lifestyle, some of our offices feature on-site fitness centers. For eligible employees we typically reimburse fees paid for a fitness club membership or activity (up to a pre-approved amount).
Child Care & Family Care
We offer on-site child care centers that provide full-time and emergency back-up care, as well as mother and baby rooms and homework rooms. In every office, we provide advice and counseling services, expectant parent resources and transitional programs for parents returning from parental leave. Adoption, surrogacy, egg donation and egg retrieval stipends are also available.
Benefits at Goldman Sachs
Read more about the full suite of class-leading benefits our firm has to offer.
Learn More

Compliance - Salt Lake City - Associate, Business Unit Compliance

Compensation

Not specified USD

City: Salt Lake City

Country: United States

Goldman Sachs logo
Bulge Bracket Investment Banks

3 days ago

No clicks

at Goldman Sachs

ExperiencedNo visa sponsorship

**Associate Business Unit Compliance - Salt Lake City** - **Responsibilities:** Interact with Asset Management business and compliance teams, review/pitch marketing materials, perform periodic testing, deliver compliance trainings, coordinate with various teams, and manage projects. - **Skills & Experience:** Master's degree in relevant field and 2 years of experience OR Bachelor's degree and 3 years of experience. Required: knowledge of FINRA Rule 2210, SEC Marketing Rule 206(4)-1, Investment Advisers Act, Investment Company Act of 1940, Di capables, Microsoft Excel (Vlookup, Xlookup, pivot tables, macros), Artificial Intelligence tools, and financial services industry. - **Seniority Level:** Associate

Full Job Description

Compliance - Salt Lake City - Associate, Business Unit Compliance - 9298516Salt Lake City, UT, United States
Opportunity Overview
CORPORATE TITLEAssociate
OFFICE LOCATION(S)Salt Lake City
DIVISIONCompliance Division

Job Duties: Associate, Business Unit Compliance with Goldman Sachs & Co. LLC in Salt Lake City, Utah. Interact with the Asset Management business and other compliance teams on a daily basis. Provide compliance advice regarding, and review of, marketing materials that are used to pitch Asset Management products and services to clients on a daily basis that are subject to regulation under the Investment Company Act of 1940 and are organized as open-end funds, closed-end funds and exchange traded funds. Perform periodic testing of marketing materials, including review of surveillances and forensic reviews of policies and procedures to ensure a robust control framework. Organize and deliver compliance trainings to various Asset Management business teams globally regarding compliance and regulatory requirements. Coordinate with Asset Management businesses such as the Client Solutions Group and various Client Portfolio Management teams, as well as Legal, Technology and Operations to opine on relevant compliance matters to drive client service and assist with new business initiatives and regulatory requirements. Work both independently and under supervision on ad-hoc and long-term projects such as regulatory remediation, process enhancements due to new regulations, and various projects to increase efficiency across the compliance division, as required. Responsible for the analysis of new AI tools being deployed across Asset Management, including the evaluation of risks, creation of training materials, oversight of deployment, and ongoing advisory support. Evaluate potential client complaints from a compliance and regulatory standpoint including the logging and tracking of responses and remediations. Evaluate and issue potential compliance violations to Asset Management employees across various Compliance requirements (including e-Communications and Personal Trading violations). Assist with the preparation of the annual 206(4)-7 compliance report by leading quarterly meetings with senior compliance management to identify topics for inclusion.

Job Requirements: Masters degree (U.S. or foreign equivalent) in Finance, Economics, Management, Business Administration, Law or a related regulatory finance/business discipline and two (2) years of experience in the job offered or a related role OR Bachelors degree (U.S. or foreign equivalent) in Finance, Economics, Management, Business Administration, Law or a related regulatory finance/business discipline and three (3) years of experience in the job offered or a related role. Prior experience must include two (2) years of experience with a Masters degree or three (3) years of experience with a Bachelors degree with the following: review marketing materials for compliance with FINRA Rule 2210 and the SEC Marketing Rule 206(4)-1; experience and familiarity with the Investment Advisers Act and Investment Company Act of 1940; advise internal stakeholders on regulatory exams and audits; provide regular postings to senior management through various means, including verbal and written presentations; deliver compliance trainings in a case study format to train the Asset Management business on regulatory and reputational risk considerations; manage multiple, complex projects simultaneously and ensure deadlines are met; working knowledge of excel, including basic formulas including Vlookup, Xlookup, pivot tables, and macros; working knowledge of Artificial Intelligence tools and use cases; knowledge of SEC Rule 206(4)-7; knowledge of the SEC Code of Ethics requirements under the Investment Company and Investment Advisers Act of 1940; and working knowledge of the financial services industry and related products, including Equities, Fixed Income, Stocks, Bonds, Options, Warrants, registered and unregistered or privately offered funds.

The Goldman Sachs Group, Inc., 2026. All rights reserved. Goldman Sachs is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sex, national origin, age, veteran status, disability, or any other characteristic protected by applicable law.

We Offer Best-In-Class Benefits
Healthcare & Medical Insurance
We offer a wide range of health and welfare programs that vary depending on office location. These generally include medical, dental, short-term disability, long-term disability, life, accidental death, labor accident and business travel accident insurance.
Holiday & Vacation Policies
We offer competitive vacation policies based on employee level and office location. We promote time off from work to recharge by providing generous vacation entitlements and a minimum of three weeks expected vacation usage each year.
Financial Wellness & Retirement
We assist employees in saving and planning for retirement, offer financial support for higher education, and provide a number of benefits to help employees prepare for the unexpected. We offer live financial education and content on a variety of topics to address the spectrum of employees priorities.
Health Services
We offer a medical advocacy service for employees and family members facing critical health situations, and counseling and referral services through the Employee Assistance Program (EAP). We provide Global Medical, Security and Travel Assistance and a Workplace Ergonomics Program. We also offer state-of-the-art on-site health centers in certain offices.
Fitness
To encourage employees to live a healthy and active lifestyle, some of our offices feature on-site fitness centers. For eligible employees we typically reimburse fees paid for a fitness club membership or activity (up to a pre-approved amount).
Child Care & Family Care
We offer on-site child care centers that provide full-time and emergency back-up care, as well as mother and baby rooms and homework rooms. In every office, we provide advice and counseling services, expectant parent resources and transitional programs for parents returning from parental leave. Adoption, surrogacy, egg donation and egg retrieval stipends are also available.
Benefits at Goldman Sachs
Read more about the full suite of class-leading benefits our firm has to offer.
Learn More