# Product and Private Markets Compliance at BlackRock

AI Level 1, AI centrality 0 out of 100. BU3-Budapest-GTC White House, Vaci ut 47, District XIII, Budapest.

## Details

- Company: [BlackRock](https://jobsbylevel.com/companies/blackrock)
- AI level: AI Level 1 (score 0 out of 100)
- Location: BU3-Budapest-GTC White House, Vaci ut 47, District XIII, Budapest
- Posted: October 6, 2026
- Apply: https://jobsbylevel.com/go/b14c4cfd-d0b9-47ec-9518-743382e30255

## Description

About this role BlackRock is one of the world’s preeminent asset management firms and a premier provider of global investment management, risk management and advisory services to institutional, intermediary and individual investors around the world. BlackRock offers a range of solutions – from fundamental and quantitative active management approaches aimed at maximizing outperformance to highly efficient indexing strategies designed to gain broad exposure to the world’s capital markets. Our clients can access our investment solutions through a variety of product structures, including individual and institutional separate accounts, mutual funds and other pooled investment vehicles, and the industry-leading iShares® ETFs. Business Unit Overview: BlackRock's Compliance Department protects BlackRock’s reputation and provides client focussed advice. The department is a dynamic environment with the team focused understanding and advising on the impact of regulation in our business, with the objective of: · Actively participating in business decisions to champion our clients’ interests and assist the business in translating compliance requirements and expectations into their daily work; · Putting client interests at the centre of everything we do; · Ensuring adherence to, and providing advice on, applicable laws, regulations and BlackRock Compliance policies; · Collaborating with the business to position Compliance centrally into their daily work; · Encouraging and improving the compliance culture within BlackRock; · Providing thought leadership, analysis and advice on the impact of the regulatory framework on the business and its clients · Developing and encouraging excellence within the Compliance team; and · Actively developing the skills and careers of each member of the Compliance team Role Description: We currently have an associate position within our Line of Business Compliance team in Budapest in our Product and Performance team. Our Product Compliance team works in partnership with other BLK functions and businesses across EMEA, to support the regulatory risks and compliance of our fund offerings across multiple jurisdictions including Ireland, Luxembourg, UK and Netherlands, incorporating both active and passive strategies across multiple asset classes. The team provides professional compliance advice and oversight to BlackRock’s Global Product Solutions team and Portfolio Management Group within the EMEA Region in respect of BlackRock’s EMEA funds. This includes provision of advice on EU and UK domiciled UCITS and AIFs and Life funds amongst other tasks including advising on and interpreting investment guidelines in relation to investment decisions, supporting product implementation as part of product launch processes, engaging with third party trustees and depositaries and fund management company boards. The successful candidate will also have the opportunity to engage with a broad range of business divisions including other EMEA Compliance teams and investment staff in relation to the regulatory framework. In addition, successful candidates will have the opportunity to further develop and enhance procedures within the team to ensure consistency and operational excellence. The role will predominantly involve the provision of compliance advice for the funds under its Luxembourg UCITS and Management Company and AIFM which manages a large number of funds across multiple asset classes and investment styles. The ideal candidate will be able to demonstrate relevant regulatory knowledge and experience within financial services having gained at least 3-5 years meaningful experience with a ‘buy-side’ asset manager. Ideally, the candidate will have proven experience working with EU fund regulation such as UCITS and knowledge of SFDR and PRIIPs. Key responsibilities/elements of role will include: · Collaborating closely with portfolio managers and other investment staff including dealers in relation to the regulatory framework,

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Source: https://jobsbylevel.com/jobs/product-and-private-markets-compliance-at-blackrock-729f3e

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