Goldman Sachs Bank USA (“Bank”) is a New York State-chartered bank and a member of the Federal Reserve System. Bank Compliance is a team within the Global Compliance Division and is responsible for executing overall strategy for and implementation of the Bank’s compliance program, a component of the firmwide risk management program. We are looking for a junior compliance professional at the analyst / senior analyst level to support the Bank Compliance team with a primary focus on (i) matters related to Regulation W compliance regarding the Bank’s transactions with affiliates and (ii) the determination of Bank eligibility for lending and certain other activities transacted in the Bank. The position requires analytical skills to review transactions of varying complexity to identify bank regulatory impacts; the ability to multi-task while maintaining attention to detail; and satisfying high priority and time-sensitive deliverables on a day-to-day basis. The candidate will be required to interact and manage workflow involving both business (e.g., Global Banking & Markets, Asset & Wealth Management) and Federation groups (e.g., Legal, Operations).
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Job Type
Full-time
Career Level
Entry Level