Full-Time

Asset & Wealth Management

Multi-Asset Solutions: Portfolio Management, Analyst/Associate

Confirmed live in the last 24 hours

Goldman Sachs

Goldman Sachs

Global investment banking and asset management firm

No salary listed

Entry, Junior, Mid

Company Historically Provides H1B Sponsorship

Bengaluru, Karnataka, India

Category
Asset Management
Finance & Banking
Required Skills
Bloomberg
Python
Risk Management
Excel/Numbers/Sheets
PowerPoint/Keynote/Slides
Connection
Connection
Connection
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Requirements
  • Master’s Degree or equivalent
  • 0-3 years of investment management experience, with successful track record of employing qualities and functional abilities referenced
  • Detail-oriented and organized with the ability to manage multiple tasks in a fast-paced environment
  • Quantitative analysis and skillset; strong programming skills in at least one language such as Python
  • Out-of-box thinker with intelligent, creative, problem-solving abilities
  • Leadership and project management qualities; experience working in global, cross-regional, cross-functional team
  • A self-starter with consistently positive attitude and eagerness to thrive in a team environment
  • Strong interest in the financial markets, good investment awareness, intermediate or advanced knowledge of asset allocation principles and of factor investing approaches
  • Ability to communicate investment strategies and rationales to audiences of varying levels of sophistication
  • Excellent writing and communication skills
  • Risk management and control orientation
  • Proficient in Excel and PowerPoint; Bloomberg, Reuters or financial data systems knowledge preferred
Responsibilities
  • Managing multi-asset class portfolios in line with client guidelines, internal investment policies, and regulatory constraints. Exercising leadership qualities and judgment, with expectation of being able to perform key portfolio management responsibilities within a few months after joining.
  • Structuring trades to facilitate portfolio activity across asset classes and product types (equities, fixed income, currencies, alternatives) and instruments (futures, forwards, ETFs, options, swaps, funds).
  • Working closely with the Central Trading Desk and external parties overseeing trade execution.
  • Working closely with other MAS teams to execute strategic and tactical investment ideas with consistency and scale, including determining optimal instruments to trade based on portfolio-specific, regulatory and market-related considerations.
  • Serving as investment-side oversight lead for complex portfolio events, including launch and onboarding of new model portfolios, client mandates and portfolio restructurings, requiring coordination across multiple internal stakeholder teams throughout the firm, as well as external model business partners.
  • Enhancing business scale by leading and overseeing projects aimed at improving trading and risk management processes, infrastructure and analytics to further accelerate the team’s ability to meet growth objectives, execute on portfolio management activities and mitigate trading risks.
  • Designing investment and risk analytics for retail models and facilitating model delivery to retail platforms.
  • Creating and improving investment and portfolio construction frameworks across asset classes, enhancing expertise in terms of investment alternatives.
  • Reviewing new portfolio design and investment strategies for client portfolio suitability, with specific focus on our ability to effectively manage and implement such portfolios and strategies.
Desired Qualifications
  • Advanced degree or CFA designation preferred

Goldman Sachs provides a variety of financial services, including investment banking, asset management, and securities trading. The firm offers advisory services for mergers and acquisitions, helps clients with underwriting securities, and manages assets for a diverse range of clients, such as corporations, financial institutions, governments, and wealthy individuals. Revenue is earned through fees for these advisory services, trading commissions, and asset management fees. What sets Goldman Sachs apart from its competitors is its extensive experience and commitment to social responsibility, which includes initiatives to support small businesses and promote racial equity. The goal of Goldman Sachs is to deliver high-quality financial services while also making a positive impact on society.

Company Size

N/A

Company Stage

IPO

Headquarters

New York City, New York

Founded

1869

Simplify Jobs

Simplify's Take

What believers are saying

  • Increased interest in AI-driven financial services presents new investment opportunities for Goldman Sachs.
  • The rise of project bonds for renewable energy projects offers sustainable finance opportunities.
  • Robust investment opportunities in healthcare and life sciences sectors are emerging.

What critics are saying

  • Reduced valuations in the tech sector may impact Goldman Sachs' investment banking revenues.
  • AI in private capital operations could disrupt traditional investment banking services.
  • Involvement in renewable energy financing exposes Goldman Sachs to market volatility risks.

What makes Goldman Sachs unique

  • Goldman Sachs is a leader in global investment banking and financial services.
  • The firm offers a wide range of services, including advisory, underwriting, and asset management.
  • Goldman Sachs is committed to social responsibility, supporting small businesses and promoting racial equity.

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Benefits

Health Insurance

Dental Insurance

Vision Insurance

Life Insurance

Disability Insurance

Health Savings Account/Flexible Spending Account

Paid Vacation

Paid Sick Leave

Paid Holidays

Professional Development Budget

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