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Senior Analyst, Compliance Testing - Regulatory Assurance

Primary office location
New York
Date
18-Jul-2025
Permanent - Full time, Mid-level
Job category
Risk Management
Join a dynamic Regulatory Assurance team, where you will play a critical role in ensuring compliance with regulatory requirements and internal policies. Our collaborative environment emphasizes professional growth, with exposure to diverse business units and functions. You will work in a supportive team that values innovation, continuous learning, and staying ahead of industry best practices.

What role will you play?

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In this role, you will design and implement comprehensive compliance testing reviews to ensure adherence to regulatory requirements and internal policies. In this role, you will lead and conduct thematic reviews across various business units and functions, identifying potential risks and areas of non-compliance. Additionally, you will collaborate with the team to enhance compliance policies, procedures, and guidelines in response to evolving regulatory landscapes.

Salary range for the role: $80,000 $100,000 per year. Actual base salary may vary based upon, but not limited to, relevant experience, time in role, peer and market data, prior performance, business sector, and geographic location. You may also be eligible for an annual discretionary incentive compensation award. We offer a full spectrum of benefits, including Medical, Prescription Drug, Dental, Vision, Health Savings Account, Dependent Day Care Savings Account, Life Insurance, Disability and Other Insurance Plans, Paid Time Off (including Sick Leave, Parental Leave and Vacation), Holidays, 401(k), and Short/Long Term Disability, in addition to other special perks reserved for our employees.

What you offer

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  • 4+ years of experience in the financial services industry, including 1–2 years in Regulatory Assurance, Compliance Testing/Monitoring, BORM, or Internal Audit.
  • Experience creating and performing tests to evaluate supervisory controls and compliance with securities laws and regulations.
  • Bachelor’s degree or higher, with strong knowledge of testing for investment banking.
  • Analytical mindset, natural curiosity, and a passion for researching unfamiliar topics.
  • Proficiency in advanced Excel, PowerPoint, and Word; familiarity with OpenPages and Power BI is a plus.

About the Risk Management Group

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Our Risk Management Group works as an independent, and centralised function, responsible for independent and objective review and challenge, oversight, monitoring and reporting in relation to Macquarie’s material risks. We are a global team that aims to manage the risks of today and anticipate the risks of tomorrow. Our divisions include compliance, credit, financial crime risk, internal audit, market risk, operational risk, aggregate risk and prudential, and central.