The Legal & Compliance (L&C) team’s mission is to deliver the highest quality services to the firm; to understand and advise on the impact of regulatory requirements and best practices; and to develop and implement an effective compliance program designed to address compliance with regulatory, client and firm requirements globally.
Our team is known for
As an Analyst you will
Teams at a glance
Compliance Advisory - Provides advisory support to teams internally at BlackRock.
Core Compliance - Ensures various policies are adhered to, creates annual compliance training for all employees and manages employee personal account trading, political contributions and outside business activities.
Risk & Controls - Monitors teams internally through various testing and review processes.
Financial Crime - Deals with all aspects of financial crime prevention including anti money laundering, sanctions and fraud prevention.
Regulatory Engagement & Development - Focuses on interaction with BlackRock’s various regulators across exams, inquiries and other engagements, and helps monitor regulatory reform from impact assessment to implementation.
This program is for candidates in their penultimate/junior year and obtaining their bachelor’s degree or their master’s degree with less than 18 months full-time work experience.
BlackRock’s purpose is to help more and more people experience financial well-being. As a fiduciary to investors and a leading provider of financial technology, we help millions of people build savings that serve them throughout their lives by making investing easier and more affordable.