Regulatory Change & Risk Management Associate

Goldman Sachs Bank AG

Dallas, Northern (TX, KY)

Hybrid

USD 110,000 - 160,000

Full time

5 days ago
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Benefits offered by this job

Healthcare benefits
Financial wellness programs
On-site health centers

Job summary

Goldman Sachs is seeking an Associate for Enterprise Compliance Office – Risk Management in Dallas, TX. The role focuses on driving regulatory change management, governance and cross-functional collaboration across Compliance, Legal, Risk, Engineering and business units.

Strong analytical, communication and project-management skills are essential. The team delivers controls, training and policies to mitigate regulatory risk and supports examinations and inquiries across the firm.

Qualifications

  • 4+ years’ experience in compliance or risk management in financial services or consulting.
  • Experience with issue management or internal control frameworks.
  • Experience with quality assurance or 2LOD review and challenge.
  • Strong understanding of Compliance program mandates and Operational Risk Frameworks.
  • Excellent communication and relationships with senior stakeholders.

Responsibilities

  • Design and implement regulatory change management processes.
  • Influence staff across levels to drive change.
  • Evolve strategy for managing regulatory changes.
  • Engage stakeholders to prioritize plans and manage volumes.
  • Ensure consistency across pillars and identify opportunities for improvement.
  • Participate in projects to source horizon scanning and regulatory change.
  • Support governance routines across Compliance and the Firm.
  • Identify automation opportunities for streamlined change processes.
  • Represent Compliance in remediation efforts across lines of defense.

Skills

Regulatory change management
Stakeholder management
Analytical thinking
Project management
Communication skills

Tools

PowerPoint
Excel

Job description

Goldman Sachs is seeking an Associate for Enterprise Compliance Office – Risk Management in Dallas, TX. The role focuses on driving regulatory change management, governance and cross-functional collaboration across Compliance, Legal, Risk, Engineering and business units.

Strong analytical, communication and project-management skills are essential. The team delivers controls, training and policies to mitigate regulatory risk and supports examinations and inquiries across the firm.

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