
The Goldman Sachs Group, Inc
Asset & Wealth Management, Multi-Asset Solutions: Multi-Asset Funds Portfolio Management – Senior Analyst, New York
Multi-Asset Solutions: Portfolio Management, Third Party Wealth, Multi-Asset Funds – Senior Analyst, New York
Asset & Wealth Management: Multi Asset Solutions (MAS) is a multi-asset class investing group that sits within Asset & Wealth Management (AWM) at Goldman Sachs. MAS designs and develops comprehensive investment management solutions customized to meet the investment objectives for clients. These solutions bring together state-of-the-art techniques for multi-asset portfolio design and implementation and reflect proprietary research and analytics conducted by the MAS team. With investment professionals across the globe, MAS has invested or advised on multi-asset class mandates for some of the world’s leading corporations, sovereign wealth funds, pension plans, governments, financial institutions, endowments, foundations, family offices, RIAs and other wealth advisors since 1995.
Role:
We are seeking a Senior Analyst to join the Third-Party Wealth Portfolio Management (TPW PM) team within MAS, focusing on managing our flagship, proprietary and sub-advisory Multi-Asset Funds. The TPW PM team is responsible for the construction and ongoing management of multi-asset class funds, retail models and discretionary/systematic investment strategies, in line with MAS investment philosophy, client objectives and guidelines and regulatory constraints.
The successful candidate will play a key role in the day‑to‑day management of multi‑asset funds, taking ownership of investment exposures and contributing to portfolio construction, implementation, and ongoing risk oversight. This role is highly analytical and detail-oriented given its focus on managing investment exposures across many asset classes and investment strategies.
Core Responsibilities:
- Manage multi‑asset class portfolios in line with client guidelines, internal investment policies, and regulatory constraints, exercising sound judgment and leadership with the expectation of assuming key portfolio management responsibilities within a few months of joining.
- Manage platform-wide, derivative‑based overlay strategies to enhance portfolio tail risk profiles and/or capture targeted market risk premia.
- Structure and implement trades to facilitate portfolio activity across asset classes and product types (equities, fixed income, currencies, alternatives) and instruments (futures, forwards, ETFs, options, swaps, funds).
- Work closely with the Central Trading Desk to oversee trade execution and ensure efficient and accurate implementation of portfolio decisions.
- Collaborate with other MAS investment teams to execute strategic and tactical investment views with consistency and scale, including determining optimal instruments based on portfolio‑specific, regulatory, and market considerations.
- Oversee portfolio risk across investment vehicles and product desks, including exposure management, currency and cash management, and investment manager and vehicle oversight.
- Design and maintain quantitative investment and risk analytics for multi‑asset funds, leveraging Python and related tools to support portfolio construction, implementation, and ongoing risk oversight; review new portfolio designs and investment strategies for client suitability, implementation feasibility, and ongoing management, and provide portfolio management reviews and sign‑offs for new business and investment opportunities.
- Serve as the investment‑side oversight lead for complex portfolio events, including onboarding new client mandates and executing portfolio restructurings, requiring coordination across internal investment teams, external managers, and trading counterparties.
- Lead and oversee projects aimed at enhancing trading and risk management processes, infrastructure, and analytics to strengthen portfolio oversight and mitigate operational and trading risks.
Basic Qualifications:
- 1-4 years of relevant investment management experience, with demonstrated track record of employing qualities and functional abilities referenced above
- Exceptional quantitative skillset, including experience with investment and risk analysis; programming skills in at least one language (e.g., Python) preferred
- Keen interest in financial markets and investing, with intermediate or advanced knowledge of asset allocation principles and factor‑based investing approaches
- Detail‑oriented and highly organized, with the ability to manage multiple priorities effectively in a fast‑paced environment
- Self‑starter with the ability to work independently while collaborating effectively in a team‑oriented environment
- Consistently positive attitude and strong work ethic, with a willingness to contribute in a collaborative, team‑centric culture
- Advanced problem‑solving skills and robust financial instrument knowledge, with the ability to think critically and creatively when evaluating investment and portfolio‑related challenges. Experience with analyzing or managing option strategies and ETFs a plus
- Risk management and control orientation, with attention to investment and operational risks
- Excellent written and verbal communication skills, with the ability to clearly articulate investment strategies, portfolio positioning, and risk considerations to audiences of varying sophistication
- High degree of proficiency in Excel and PowerPoint; experience with Bloomberg, Reuters, or other financial data systems preferred
- Advanced degree and/or CFA designation preferred
Salary Range
The expected base salary for this New York, New York, United States-based position is $90000-$125000. In addition, you may be eligible for a discretionary bonus if you are an active employee as of fiscal year-end.
Benefits
Goldman Sachs is committed to providing our people with valuable and competitive benefits and wellness offerings, as it is a core part of providing a strong overall employee experience. A summary of these offerings, which are generally available
to active, non-temporary, full-time and part-time US employees who work at least 20 hours per week, can be found here.
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关于Goldman Sachs

Goldman Sachs
PublicThe Goldman Sachs Group, Inc. is an American multinational investment bank and financial services company. Founded in 1869, Goldman Sachs is headquartered in the Battery Park City neighborhood of Manhattan in New York City, with regional offices in many international financial centers.
45,000+
员工数
Lower Manhattan
总部位置
$80B
企业估值
评价
2条评价
2.9
2条评价
工作生活平衡
2.5
薪酬
3.0
企业文化
2.0
职业发展
4.0
管理层
2.5
45%
推荐率
优点
Amazing career growth opportunities
Chill management at some locations
Work-life balance valued in certain roles
缺点
Toxic workplace culture
Codependent atmosphere
Confusing interview process
薪资范围
20,304个数据点
Junior/L3
VP
Intern
Junior/L3 · Analyst
40份报告
$58,500
年薪总额
基本工资
$45,000
股票
-
奖金
-
$54,600
$89,700
面试评价
4条评价
难度
3.5
/ 5
时长
21-35周
体验
正面 0%
中性 75%
负面 25%
面试流程
1
Application Review
2
HR Screen/HireVue
3
Recruiter Screen
4
Superday/Panel Interview
5
Final Decision
常见问题
Behavioral/STAR
Technical Knowledge
Culture Fit
Past Experience
Case Study
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