T. Rowe Price

Compliance Officer / Senior Compliance Analyst - 12 month Fixed Term Contract

T. Rowe Price  •  Luxembourg, LU (Onsite)  •  2 days ago
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Job Description

At T. Rowe Price, we identify and actively invest in opportunities to help people thrive in an evolving world. As a premier global asset management organization with more than 85 years of experience, we provide investment solutions and a broad range of equity, fixed income, and multi-asset capabilities to individuals, advisors, institutions, and retirement plan sponsors. We take an active, independent approach to investing, offering our dynamic perspective and meaningful partnership so our clients can feel more confident.

We believe doing the right thing for our clients and our associates is good businessWith a career at the firm, you can expect opportunities to create real impact at workand in your community. You’ll enjoy resources to support your career path, as well ascompensation, benefits, and flexibility to enrich your life. Here, you’ll find a collaborative culture that respects and valuesdifferences and colleagues who share a spirit of generosity

Join us for the opportunity to grow and make a difference in ways that matter to you

POSITION PURPOSE

T. Rowe Price (Luxembourg) Management S.à r.l. is a Luxembourg based Super Management Company belonging to the T. Rowe Price Group‑.

In the context of the temporary absence of one of its Compliance Associates, the Company is looking for a Compliance Officer / Senior Compliance Analyst, requiring in-depth knowledge and expertise‑ in their own job discipline and working knowledge of related disciplines.

Principal Responsibilities

Regulatory Advisory & Compliance Framework

  • Giving guidance and advice to management and business partners regarding European, and Luxembourg laws and regulations. Having the same capacity covering UK and APAC regulations is a major plus.

  • Ensuring that the Funds, the Management Company and its branches operate in compliance with relevant rules and regulations and group standards.

  • Providing advisory support to senior managers advice for the senior managers responsible for business unit.

  • Providing strategic consulting to senior management and contributing to the development of the ManCo’s compliance strategy.

  • Coach and advise other Compliance associates supporting adjacent business units; share best practices and promote consistency across the program.

  • Provides consultative support and advice on Code of Ethics and Conduct related matters.

  • Provide generalist compliance support in the form of training, conflicts of interest, reviewing DDQ’s, certifications, market soundings etc.

Compliance Monitoring, Testing & Oversight

  • Identifying and implementing improvements to compliance controls and checks, with a focus on company‑wide procedures and policies.

  • Keeping up to date and regularly reviewing Company policies, standards, and procedures.

  • Overseeing compliance controls within delegates and service providers, including periodic reviews.

  • Conducting systematic reviews of the GRC system to identify potential or emerging compliance issues, ensuring that all findings are appropriately assessed, escalated, and remediated in accordance with internal governance standards.

  • Maintaining, updating, and overseeing the Compliance Issues Register to ensure accurate documentation, timely follow‑up, and effective closure of identified issues, in line with regulatory expectations and internal control requirements.

Regulatory Change & Cross‑Functional Projects

  • Leading cross‑functional compliance initiatives of notable risk or, when relevant, participating or leading cross-functional projects land initiatives linked to regulatory changes (e.g., AIFMD II, UCITS VI, CCI, RIS, MISP, CSSF circular 19/698, SFDR 2.0, etc.).

  • Managing EMIR REFIT and EMIR 3.0 obligations, including monthly fund launch checks, regulatory notifications to ESMA and CSSF, and stakeholder engagement.

  • Monitoring regulatory developments on an ongoing basis, coordinating impact assessments with subject‑matter experts, and ensuring that all analyses, decisions, and required actions are formally documented and maintained in the appropriate regulatory developments register covering multiple jurisdictions.

Operational Compliance Activities

  • Providing accurate and timely regulatory input for RFP submissions, ensuring alignment with Luxembourg and EU regulatory requirements.

  • Overseeing regulatory and financial reporting activities, including creating new reports, reviewing monthly completion status, and following up with SMEs on outstanding items.

  • Reviewing compliance certifications, ensuring the accuracy and completeness of all justifications.

  • Following up with SMEs who have not completed their annual compliance certifications and ensuring timely resolution.

  • Provide targeted Compliance training to business lines as required.

Reporting & Governance

  • Preparing compliance reporting for senior management, Board of Directors, committees, group functions, and regulators.

  • Preparing the annual compliance report to the CSSF, ensuring accuracy, completeness, and alignment with regulatory expectations.

  • Maintaining the regulatory correspondence log, including reporting to the Head of Compliance and different Committees.

  • Leading the annual self-assessment questionnaire and preparing the separate annual report for TRPLUX.

Representation & External Engagement

  • Being an active contributor to global and EMEA compliance functioning.

  • Participating in committees and working groups representing Compliance.

  • Participating in webinars and industry forums.

PERSONAL ATTRIBUTES / SKILLS / QUALIFICATIONS

  • Relevant degree or equivalent combination of education and experience.

  • Minimum 5+ years of relevant experience.

  • Strong knowledge and understanding of regulations applicable to Management Companies in EU27 and Luxembourg. Knowledge of the regulatory landscape applicable to Asset Managers and Investment Funds in the UK is a major plus.

  • Good understanding of the fund industry and financial markets on a cross border basis.

  • English: Fluent (mandatory); French preferred; Any other language is a plus.

  • Very good documentation skills.

  • Strong interpersonal skills and initiative in a multicultural and international environment.

  • Strong verbal and written communication skills.

  • Attentive to detail, flexible, capable of prioritizing tasks, and exercising sound judgment and creativity in finding solutions.

  • Curiosity and eagerness to learn.

Commitment to Diversity, Equity, and Inclusion:

At T. Rowe Price, our associates are our greatest asset. We thrive because our company culture is built on inclusion and because we sustain a work environment where associates can bring their best selves to work every day. The backgrounds, talents, and experiences of our global associates allow us to embrace new ideas and perspectives that move our business priorities forward and enable us to deliver strong client outcomes. Here, you can expect equal opportunity and fair and consistent treatment for all.

T. Rowe Price is an equal opportunity employer and values diversity of thought, gender, and race. We believe our continued success depends upon the equal treatment of all associates and applicants for employment without discrimination on the basis of race, religion, creed, colour, national origin, sex, gender, age, mental or physical disability, marital status, sexual orientation, gender identity or expression, citizenship status, military or veteran status, pregnancy, or any other classification protected by country, federal, state, or local law.

T. Rowe Price

About T. Rowe Price

T. Rowe Price is a premiere global asset management organization, actively investing in opportunities to help people thrive in an evolving world.

Headquartered in Baltimore, Maryland, we provide a broad range of investment solutions across equity, fixed income, and multi-asset capabilities for clients around the world—from individuals to advisors to institutions to retirement plan sponsors.

Our active, independent investing approach has guided how we do business for more than 85 years. Our professionals have diverse perspectives, but are united behind a commitment to rigorous research. They collaborate to identify market risks and opportunities that can give clients sharper insights and an investment edge. We maintain a long-term view, aiming to deliver consistently strong performance in up and down markets.

Our clients—and their success—are our singular focus. That’s why we build deep, meaningful partnerships, matching client goals with our expertise. By understanding clients’ needs and delivering timely, actionable insights and solutions, we can help them navigate change and achieve better outcomes.

Guidelines: www.troweprice.com/social

T. Rowe Price and our associates do not recommend or offer investment opportunities in any financial instrument (e.g., stocks, funds, cryptocurrency, etc.) via social media or messaging platforms.

Intended for US audiences only. Download a prospectus for any T. Rowe Price mutual fund or ETF, which includes investment objectives, risks, fees, expenses, and other information that you should read and consider carefully before investing: https://trowe.com/3sqwKtL

Please remember that investing involves risk, including possible loss of principal and past performance cannot guarantee future results.

T. Rowe Price Investment Services, Inc., registered broker-dealer and distributor, T. Rowe Price Mutual Funds and ETFs.

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Industry
Finance & Insurance
Company Size
5,001-10,000 employees
Headquarters
Baltimore, Maryland
Year Founded
1937
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