Asset & Wealth Management - New York - Associate, Risk Governance - 9730155
$120k - $166kGoldman Sachs
Job Description Associate, Risk Governance with Goldman Sachs & Co. LLC in New York, New York. Assist in identifying, measuring, and managing both investment risk of third‑party investment managers and Fund of Funds portfolio‑level risks across public markets within the Firm’s External Investing Group (XIG). Create customized risk reports for portfolios and proactively develop new tools and approaches to track, understand, and analyze risk exposure and performance of portfolios. Work closely with risk analytics vendors and internal stakeholders in refining, updating, and developing risk frameworks, models, and analytics used for evaluating and monitoring XIG‑invested third‑party investment managers and portfolios. Ensure effective execution and supervision of the agreed‑upon manager and portfolio‑level risk management processes and protocols by regularly interacting with relevant stakeholders. Support the investment and relevant regulatory guideline monitoring, compliance, and reporting function across XIG public markets. Respond to ongoing and ad‑hoc risk‑related requests from various business areas within XIG and the broader Goldman Sachs Asset Management organization. Participate in manager calls/visits as needed for risk/guideline monitoring and/or investment due diligence purposes. Communicate analytical results, diligence observations, and conclusions to internal teams, clients, and other stakeholders verbally and through written memos and presentations. Job Requirements Bachelor’s degree (U.S. or foreign equivalent) in Finance, Mathematics, Operations Research, Engineering, or a related field and two (2) years of experience in the job offered or in a related role. Prior experience must include two (2) years in the following: market structure and functioning of global financial markets, and their trading mechanics; identifying, measuring, and monitoring various types of portfolio risk, including market risk, liquidity risk, credit risk, and factor exposure, through risk frameworks such as VAR, scenario analysis, and historical simulation; evaluating portfolio composition, performance attribution, and alignment with investment objectives and assessing portfolio diversification, concentration risk, turnover, and compliance with risk limits using tools like Bloomberg PORT or factor decomposition and risk attribution; utilizing Python to develop asset allocation models, conduct scenario analysis, and automate performance and risk reporting; utilizing Excel to develop VBA programs to automate daily tasks, and utilizing advanced functions and pivot tables to support real‑time analysis, monitoring, and decision‑making processes; statistics, optimization, linear algebra, and their application to investment strategies and risk evaluation; understanding and calculating important performance metrics such as Value‑at‑Risk (VAR), trading error, beta exposures, and drawdown analysis; and effectively communicating complex quantitative concepts and insights to both technical and non‑technical audiences, and translating analytical results into clear, actionable recommendations for stakeholders. Salary Range Annual base salary for this New York, New York based position is $120,000 - $166,000. We are an equal opportunity employer and do not discriminate on the basis of race, color, religion, sex, national origin, age, veteran status, disability, or any other characteristic protected by applicable law. #J-18808-Ljbffr Goldman Sachs
$120k - $166k
Asset & Wealth Management - New York - Associate, Risk Governance - 9730155 New York, NY, United States Job Description Associate, Risk Governance with Goldman Sachs & Co. LLC in New York, NY. Assist in identifying, measuring, and managing investment risk of third‑party...RiskAsset$120k - $166k
Asset & Wealth Management - New York - Associate, Risk Governance - 9730155 location_on New York, NY, United States Job Duties: Associate, Risk Governance with Goldman Sachs & Co. LLC in New York, New York. Assist in identifying, measuring, and managing both investment...RiskAssetFull timeTemporary workWork at office- Asset & Wealth Management, Private Credit, Structured Corporate Credit, Associate, New York GOLDMAN SACHS ALTERNATIVES Goldman Sachs Asset Management is one of the world's leading... ...origination, underwriting, structuring, risk management and execution. Combined with the...RiskAssetFlexible hours
$100k - $170k
...leading hedge fund managers, private credit... ...across all asset classes. XIG manages... ...through new fund commitments... ...portfolio construction, risk management and... ...leading sovereign wealth funds, pension plans, governments, financial... ...salary for this New York, New York, United...RiskAssetFull timeTemporary workPart time$100k - $160k
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Job Duties Associate, Quantitative Engineering with Goldman Sachs & Co. LLC in New York, New York. Develop, implement, and document scenarios... .... Build and challenge risk models, identify and quantify... ...algorithms; performing risk management or scenario-based analysis; developing...RiskAssetFull timeTemporary workWork at office$125k - $250k
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Multi-Asset Solutions, “MAS” is an investing... ...within the Asset Management Division at... ...plans, sovereign wealth funds and insurance... ...and implementation, risk management, and portfolio... ...foundations, and government institutions.... ...base salary for this New York, New York, United...RiskAssetFull timeTemporary workPart time- ...Join our Private Bank/Wealth Management Solutions Internal Audit... ...role in strengthening governance and driving... ...while supporting ongoing risk assessments and continuous... ...experience, or relevant asset and wealth management... ...Location: Jersey City, New Jersey. #J-18808-Ljbffr...RiskAssetVisa sponsorship
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