Our division is dedicated to preventing, detecting, and mitigating compliance, regulatory, and reputational risks throughout the firm. These objectives are achieved through the implementation of an enterprise-wide compliance risk management programme. As an independent control function within the firm and operating as part of the second line of defence, Compliance is responsible for assessing the firm's exposure to compliance, regulatory, and reputational risks. The division's key responsibilities include designing and implementing effective controls, policies, procedures, and training programmes to promote compliance. The team comprises individuals from a variety of academic and professional backgrounds, including law, accounting, sales, and trading. We are looking for an Analyst/ Associate-level candidate to join the Compliance team in Goldman Sachs Bank Europe SE (GSBE), our EU hub.
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