Sydney Compliance Analyst: Global Markets & Advisory

Goldman Sachs Group, Inc.

Sydney

On-site

AUD 80,000 - 115,000

Full time

14 days+
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Job summary

Goldman Sachs Group, Inc. in Sydney seeks a Compliance Analyst for Global Advisory and Markets, focusing on Equities. You will operate on a trading floor and provide real-time compliance support to the Equities business while coordinating with Legal, Risk and Internal Audit.

The role emphasizes monitoring regulatory changes, implementing controls, and driving strategic compliance initiatives with senior management. A proactive, detail‑oriented team player is essential.

Qualifications

  • 1+ years of compliance, legal, audit or other control function experience.
  • Strong analytical skills and ability to exercise judgment.
  • Excellent written communication skills.
  • Ability to work with a variety of senior and junior people.

Responsibilities

  • Primary coverage focused on the Equities sales and trading businesses in day-to-day operations.
  • Articulate and maintain standards of conduct under laws, regulations and policies governing these operations in Australia.
  • Monitor changes in laws and regulations and implement a compliance program.
  • Formulate policies, training, testing and monitoring coverage for the business.
  • Devise and implement strategic solutions with senior compliance management and other control side departments.
  • Support handling of regulatory and internal investigations/audits and elevate significant issues.
  • Conduct regular compliance training for business unit professionals and supervisors.

Skills

1+ years compliance experience
Analytical thinking
Proactive risk identification
Written communication
Interpersonal skills
Attention to detail
Team player
Judgment and problem solving
Multitasking under deadlines

Job description

Goldman Sachs Group, Inc. in Sydney seeks a Compliance Analyst for Global Advisory and Markets, focusing on Equities. You will operate on a trading floor and provide real-time compliance support to the Equities business while coordinating with Legal, Risk and Internal Audit.

The role emphasizes monitoring regulatory changes, implementing controls, and driving strategic compliance initiatives with senior management. A proactive, detail‑oriented team player is essential.

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