William blair

Core Compliance Analyst

Chicago, Illinois, United States Full Time

Solutions for Today’s Challenges. Vision for Tomorrow’s Opportunities.

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William Blair has delivered trusted advice for nine decades, and we continue to deepen our expertise and relationships across regions, asset classes, and markets throughout North America, Europe, Asia, and Australia.

We are committed to our people and culture, values, clients, and local communities.

What sets us apart is that we are an independent partnership, with employees who have unique experiences, perspectives, and backgrounds. We provide advisory services, strategies, and solutions to meet clients’ evolving needs amid dynamic market conditions and varying industries.

We strive to attract the most qualified, passionate candidates who specialize in investment banking, investment management, private wealth management, and a variety of other business functions.

We work tirelessly to create an inclusive culture and take pride in fostering employees’ professional and personal growth. We empower our people to bring their best thinking each day so we can deliver the tailored, thoughtful work and problem-solving abilities that our clients expect.

Equally, we are proud of our long-term partnerships with the communities in which we live and work, a legacy we inherited from our founder.

We invite you to learn about how we are seeking excellence in everything we do and empowering our clients’ success with passion, creativity, and rigor. For more information, visit williamblair.com.

Core Compliance Analyst

Location: Chicago - (onsite 3 days per week)

William Blair and Company, L.L.C. is seeking a highly motivated Compliance Analyst with 1-3 years of experience to join our Core Compliance team. This role supports Code of Ethics administration covering Personal Account Dealings, Compliance Certifications (annual, quarterly, periodic), Outside Business Activities, Private Investments, Compliance Training and Policy Management. The analyst will play a key role in executing and enhancing the firm’s various compliance programs supporting William Blair Investment Management, LLC, the institutional asset management business of William Blair. The position offers an opportunity to gain broad exposure to compliance functions while building expertise in regulatory compliance.

Key Responsibilities:

Code of Ethics Administration

  • Administer the company's technology solution (MyComplianceOffice) to monitor personal trade surveillance across William Blair’s various business units
  • Communicate the company's Code of Ethics to employees and review disclosures under the Code of Ethics
  • Analyze underlying personal trade data for unusual behavior to identify conflicts of interest and other risks
  • Work with other stakeholders in testing updates to the firm's technology solution to monitor employee activities
  • Develop relationships with employees and management to advise on and encourage adherence with compliance policies
  • Generate and deliver reports to legal personnel, human resources and management
  • Manage day-to-day Compliance New Hire, Quarterly and Annual Attestation assignments
  • Issue Quarterly Compliance certifications, handle responses that require review and escalation
  • Oversee and assign the Compliance requirements in MCO to ensure that employees consultants receive the proper requisite compliance training and certification assignments (New Hire and Ongoing)

Compliance Reviews and Reporting

  • Assist with e-communications surveillance and eDiscovery related to regulatory and legal matters
  • Manage monitoring of Code of Ethics and Policy infractions, including issuance of policy reminders and discipline
  • Prepare and provide monthly/quarterly reporting and statistics to Compliance leadership to be used in internal governance committees, Board and Client Reporting
  • Work in conjunction with other members of the Legal & Compliance team in testing and updating the firm’s policies and procedures covering all core compliance areas
  • Establish routine testing schedule and oversee reviews (i.e., routinely spot check OBAs disclosed versus Form U4 updates, Attestation and Training assignments, Regulatory Element CE)
  • Collaborate with business units on AML/KYC reviews and assist with management of the AML Program
  • Assist with gathering of information in response to Internal Audit and Regulatory exam requests as needed

Registration & Licensing

  • Assist with U.S. Individual and Entity Registration filings (Forms U4 / U5, Form BR, BD, ADV)
  • Create and publish management reports to Business Heads and Compliance Advisory Partners

Other

  • Assist in the development and delivery of conflicts management tools and reports in support of global compliance needs
  • Stay informed on regulatory changes and industry best practices; contribute to enhancing internal policies and procedures
  • Participate in the development and execution of compliance training programs to raise awareness of regulatory obligations
  • Continuously review and improve internal controls, policies, and procedures to ensure they meet evolving regulatory and operational requirements

Qualifications:

  • Bachelor’s degree in finance, business, economics, or related field
  • 1-3 years of compliance experience, preferably in an asset management firm/registered investment advisor administering Code of Ethics
  • Strong analytical and problem-solving skills; ability to identify and escalate issues effectively
  • Excellent written and verbal communication skills
  • Strong Excel skills, including pivot tables and lookups, with an interest in developing more advanced analytics capabilities
  • Familiarity with Power BI and other data visualization/reporting tools working with large data sets
  • Demonstrated ability to learn new systems and translate data into practical insights for decision-making
  • Detail-oriented with strong organizational skills and ability to manage multiple tasks
  • Ethical mindset and commitment to maintaining the highest standards of compliance and integrity
  • Collaborative team player who can work effectively across business lines
  • Curious and proactive, with a willingness to learn and take ownership of assignments
  • Ability to work independently in a fast-paced, dynamic environment
  • This role may require occasional travel for regulatory meetings, internal training sessions, or industry conferences
  • Flexibility in working hours may be required to manage urgent compliance matters
  • Other projects or responsibilities as may be requested from time to time
  • Expected to work in the Chicago office 3 days per week

#LI-CH

#LI-Hybrid

A reasonable estimate of the current base salary range at time of posting is below. Base salary does not include other forms of compensation or benefits. Actual base salary within the specified range is based on several factors, including but not limited to applicant's skills, prior relevant experience, specific degrees and certifications, job responsibilities, market considerations and, if applicable, the location of the position.

This role is eligible for either a discretionary annual bonus (based on company, business unit and individual performance) and/or commission-based incentives.

Our featured benefit offerings include medical, dental and vision coverage, employer paid short & long-term disability and life insurance, 401(k), profit sharing, paid time off, Maven family & fertility benefit, parental leave (including adoption, surrogacy, and foster placement), as well as other voluntary benefits.  

Salary Range
$80,000$95,000 USD

 

William Blair is an equal opportunity employer. It complies with all laws and regulations that prohibit discrimination in employment practice because of race, color, religion, creed, ancestry, marital status, gender, age, national origin, sexual orientation, unfavorable discharge from the military service or on the basis of a physical or mental disability that is unrelated to the employee's ability to perform the duties of the job applied for. EOE m/f/d/v

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