Overview

Compliance Analyst Jobs in Greater Boston at BNG Consulting, Inc.

Title: Compliance Analyst

Company: BNG Consulting, Inc.

Location: Greater Boston

Compliance Analyst

Location: Boston, MA (Hybrid)

About the Opportunity

A leading real estate investment trust (REIT) is seeking a Compliance Analyst to join its growing compliance team. This position offers the opportunity to work across a broad range of regulatory, governance, and risk management initiatives while partnering with professionals throughout the organization.

The ideal candidate will be detail-oriented, intellectually curious, and eager to contribute to a collaborative environment focused on maintaining a strong culture of compliance and operational excellence.

Key Responsibilities

Compliance Program Administration

  • Support the ongoing development, implementation, and monitoring of compliance policies and procedures.
  • Assist in evaluating and enhancing internal controls and compliance processes.
  • Conduct periodic compliance reviews, testing, and monitoring activities.
  • Help develop and deliver compliance-related training programs across the organization.
  • Promote awareness of compliance obligations and best practices throughout the business.

Regulatory Compliance & Monitoring

  • Assist with the preparation and maintenance of regulatory filings and related documentation.
  • Monitor changes in regulatory requirements and assess potential impacts to business operations.
  • Conduct regulatory research and communicate relevant developments to internal stakeholders.
  • Support responses to compliance inquiries, examinations, and information requests.

Compliance Systems & Reporting

  • Maintain compliance records, certifications, and monitoring activities.
  • Assist with employee compliance reporting, including personal trading, gifts and entertainment, outside business activities, political contributions, and related disclosures.
  • Support administration of compliance platforms and tracking tools.
  • Prepare reports and documentation for management and compliance committees.

Cross-Functional Collaboration

  • Partner with teams across finance, operations, technology, investor relations, and human resources on compliance-related initiatives.
  • Support employee onboarding and offboarding compliance processes.
  • Assist with internal audits, control testing, and special projects.
  • Contribute to various risk management and governance initiatives as needed.

Qualifications

  • Bachelor’s degree required, preferably in Accounting, Finance, Business, Legal Studies, or a related field.
  • 1–3 years of experience in compliance, audit, risk management, legal, accounting, or a related discipline.
  • Experience within financial services, real estate investment, asset management, public accounting, or regulated industries is preferred.
  • Knowledge of investment adviser regulations and compliance frameworks is a plus.
  • Familiarity with SEC regulations, FINRA requirements, ERISA, or other financial services regulatory environments is beneficial.
  • Strong analytical and problem-solving skills with exceptional attention to detail.
  • Excellent written and verbal communication skills.
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment.
  • Proactive, collaborative, and able to work effectively both independently and as part of a team.
  • Demonstrated integrity, professionalism, and ability to handle sensitive information with discretion.
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