Description
Elevate your career by joining the world's largest asset manager as a Portfolio Compliance Disclosures Analyst. In this role, you will work with the Portfolio Compliance Group to implement controls and processes to ensure compliance with regulatory and portfolio guidelines. Your primary focus will be on monitoring and reporting of major shareholdings, short selling activities, and Takeover Panel transactions.
Key responsibilities include:
- Building strong relationships with colleagues from Portfolio Management, Institutional Client Business, Legal & Compliance, and Investment Stewardship
- Learning about numerous global regulatory regimes and jurisdictions, and staying up to date on regulatory changes
- Taking on and solving complex problems in an ever-changing environment
Daily tasks may include reviewing system reports of shareholdings against trade movements, prioritizing and submitting necessary disclosures, and identifying holdings that are approaching prescribed threshold limits.
As a successful candidate, you will have a Bachelor's degree or equivalent in a related field, experience in working with and building strong relationships with internal and external partners, and proficiency in Microsoft Office applications and strong IT skills.
In addition to a competitive salary, BlackRock offers a wide range of employee benefits, including retirement investment, education reimbursement, comprehensive resources to support physical and emotional well-being, family support programs, and flexible time off.