Legal & Compliance – Credit & Insurance (BXCI) – Regulatory Attorney, AVP

Blackstone
New York, New Jersey, Miami
Workplace: OnsiteFull timeUSD 135,000 - 200,000 annuallyFunction: Legal, Risk & ComplianceExperience: 5+ yearsEducation: professionalSkills: ["Communication","Drafting","Interpersonal skills","Attention to detail","Collaboration"]

Regulatory attorney supporting Blackstone’s Credit & Insurance compliance program, focusing on SEC/CFTC/ERISA matters, policy drafting, investor disclosures, and regulatory examinations. Works with in-house teams and external counsel to monitor developments, implement controls, and advise investment professionals in private credit and corporate bond trading within a fast-paced, collaborative environment.

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Blackstone
Blackstone
4 months ago

Legal & Compliance – Credit & Insurance (BXCI) – Regulatory Attorney, AVP

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Job Summary

Regulatory attorney supporting Blackstone’s Credit & Insurance compliance program, focusing on SEC/CFTC/ERISA matters, policy drafting, investor disclosures, and regulatory examinations. Works with in-house teams and external counsel to monitor developments, implement controls, and advise investment professionals in private credit and corporate bond trading within a fast-paced, collaborative environment.
Location: New York, New Jersey, Miami
Workplace: Onsite
Employment Type: Full time
Job Function: Legal, Risk & Compliance
Seniority: Manager level

Key Responsibilities

  • •Assist in preparing and coordinating compliance responses to regulators and examinations
  • •Develop and update policies, procedures, and training to meet regulatory requirements
  • •Draft disclosures, investor communications, and memoranda implementing policies
  • •Advise investment professionals on regulatory matters related to private credit and trading strategies
  • •Collaborate with internal teams and outside counsel to monitor regulatory developments and implement changes

Pay and Benefits

Salary: USD 135,000 - 200,000 annually
Equity and Bonus:Equity
Perks:Health Insurance401kEquityAnnual BonusPaid Leave

Key Requirements

  • •Support senior members of Compliance and Legal teams on compliance and regulatory matters arising from the SEC, CFTC, and DOL (ERISA), as well as compliance with all relevant federal, state and international securities laws (including the Investment Advisers Act of 1940, the Securities Act of 1933 and the Exchange Act of 1934)
  • •Devise, initiate, maintain, and revise compliance and regulatory policies, procedures, controls, and training based on the specific needs of the business and current regulatory requirements including the annual review under Rule 206(4)-7
  • •Draft and review disclosures and communications to investors and business professionals as well as memoranda implementing policies and procedures
  • •Serve as lead to coordinate responses to requests from marketing team for information related to DDQs, marketing materials, and other client requests
  • •Provide regulatory and compliance advice to investment professionals with a focus on the private credit and corporate bond trading strategies and other personnel including preparation of reports to the investment team and senior management regarding compliance matters
Experience:5+ yearsFinanceAsset managementPrivate credit
Education:Professional (JD, MD, etc.)
Skills:CommunicationDraftingInterpersonal skillsAttention to detailCollaboration

Company Brief

Blackstone
Global alternative asset manager specializing in private equity, real estate, credit, and hedge fund solutions. Provides investment management and advisory services to institutional and individual investors worldwide.
Industry: Asset Management
Company Size: Enterprise (1,001+ employees)
Revenue: USD 1B+
Growth: Public Company
Valuation: Public Company (Market Cap in USD)
Funding: IPO / Publicly Listed
Headquarters: New York, United States
Founded: 1985
WebsiteLinkedIn