The Global Post-Trade Compliance team plays a key role in Vanguard’s commitment to protecting investors and supporting strong oversight across our global fund complex. The team is responsible for substantial shareholder monitoring, assessing regulatory obligations, and helping ensure timely and accurate compliance outcomes across a broad range of investment products and markets. As part of this group, the Global Shareholder Disclosure team focuses on ownership-based reporting requirements in jurisdictions around the world. This work sits at the intersection of regulation, data, market structure, and investment activity, giving team members the opportunity to solve complex challenges in a highly visible and evolving area of global compliance. You will lead the analysis and oversight of shareholder disclosure obligations across global markets. Responsibilities include evaluating ownership scenarios, providing regulatory guidance, influencing strategies, and partnering with Legal, technology providers, and business stakeholders to enhance monitoring capabilities and support timely reporting. The team's work spans substantial shareholding, takeover, and sensitive industry disclosure requirements, providing broad exposure to global regulatory frameworks and ownership-based reporting obligations. This is an exciting opportunity for a compliance professional who enjoys operating at the intersection of regulation, data, and global markets. The successful candidate will serve as a trusted advisor on disclosure matters, help shape compliance practices in an evolving regulatory environment, and collaborate with experienced professionals across the organization. The position provides broad exposure to international regulations, meaningful engagement with senior stakeholders, and the opportunity to make an impact in a highly specialized area of global compliance.
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Job Type
Full-time
Career Level
Senior